000 01095nam a2200349Ia 4500
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007 ta
008 220909b |||||||| |||| 00| 0 eng d
020 _a9780470978702 (hbk)
020 _aSL01561292
024 _a190027
037 _b2564, 12/03/2014, Vibha Books International
037 _cTextual
040 _aCSL
_beng
_cCSL
041 _aeng
082 _aB2T0bX:8D,92R, Q3;1
100 _aPfaff Bernhard
245 0 _aFinancial risk modelling and portfolio optimization with R
260 _aWest Sessex
_bWiley
_c2013
300 _axvi,358p.
490 _aStatistics in practice
500 _aInclude bibliographical references.; Appendix 314-342p.; Index 343-358p.
650 _a Computer program language R
650 _a Financial risk
650 _a Portfolio management
650 _aStatistics
700 _aPfaff Bernhard
942 _hB2T0bX:8D,92R, Q3;1
_cTEXL
_2CC
999 _c16877
_d16877