Arama Sonuçları Financial risk -- Mathematical models. - Daraltılmış: 2013
SirsiDynix Enterprise
https://katalog.hacettepe.edu.tr/client/tr_TR/default_tr/default_tr/qu$003dFinancial$002brisk$002b--$002bMathematical$002bmodels.$0026qf$003dPUBDATE$002509Yay$0025C4$0025B1n$002bY$0025C4$0025B1l$0025C4$0025B1$0025092013$0025092013$0026ps$003d300?dt=list
2024-11-26T20:22:53Z
Financial risk modelling and portfolio optimization with R
ent://SD_ILS/0/SD_ILS:305274
2024-11-26T20:22:53Z
2024-11-26T20:22:53Z
Yazar Pfaff, Bernhard.<br/>Yer Numarası ONLINE<br/>Elektronik Erişim <a href="http://proquest.safaribooksonline.com/?fpi=9781118477120">Available by subscription from Safari Books Online</a>
Wiley Online Library <a href="http://onlinelibrary.wiley.com/book/10.1002/9781118477144">http://onlinelibrary.wiley.com/book/10.1002/9781118477144</a>
Books24x7 <a href="http://www.books24x7.com/marc.asp?bookid=51146">http://www.books24x7.com/marc.asp?bookid=51146</a>
John Wiley <a href="http://dx.doi.org/10.1002/9781118477144">http://dx.doi.org/10.1002/9781118477144</a>
Volltext <a href="http://proquest.tech.safaribooksonline.de/9781118477120">http://proquest.tech.safaribooksonline.de/9781118477120</a><br/>Format: Elektrnik Kaynak<br/>Durum Çevrimiçi Kütüphane~1<br/>
Financial risk modelling and portfolio optimization with R
ent://SD_ILS/0/SD_ILS:357601
2024-11-26T20:22:53Z
2024-11-26T20:22:53Z
Yazar Pfaff, Bernhard.<br/>Yer Numarası HG106 P484 2013<br/>Format: Kitap<br/>Durum Beytepe Kütüphanesi~1<br/>