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Financial risk modelling and portfolio optimization with R
| Hovedforfatter: | |
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| Format: | Printed Book |
| Udgivet: |
Hoboken, N.J. :
Wiley,
2013.
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| Serier: | Statistics in practice
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| Fag: |
| Fysisk beskrivelse: | xvi, 356 p. : ill. ; |
|---|---|
| ISBN: | 9780470978702 (cloth) |