Financial risk modelling and portfolio optimization with R
tarafından
 
Pfaff, Bernhard.

Başlık
Financial risk modelling and portfolio optimization with R

Yazar
Pfaff, Bernhard.

ISBN
9781118477144
 
9781118477137

Yayın Bilgileri
Chichester, West Sussex : Wiley, 2013.

Fiziksel Tanımlama
1 online resource (xvi, 356 p.) : ill.

Seri
Statistics in practice

Seri Başlığı
Statistics in practice

Konu Terimleri
Financial risk -- Mathematical models.
 
Portfolio management.
 
R (Computer program language)

Tür
Electronic books.

Elektronik Erişim
Available by subscription from Safari Books Online
 
Wiley Online Library http://onlinelibrary.wiley.com/book/10.1002/9781118477144
 
Books24x7 http://www.books24x7.com/marc.asp?bookid=51146
 
John Wiley http://dx.doi.org/10.1002/9781118477144
 
Volltext http://proquest.tech.safaribooksonline.de/9781118477120


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