Financial risk modelling and portfolio optimization with R

by Pfaff, Bernhard. Series: Statistics in practice Published by : Wiley, (Hoboken, N.J. :) Physical details: xvi, 356 p. : ill. ; ISBN:9780470978702 (cloth). Year: 2013
Tags from this library: No tags from this library for this title. Log in to add tags.
Star ratings
    Average rating: 0.0 (0 votes)
Holdings
Item type Current library Collection Call number Status Date due Barcode
Books Books KUFOS Central Library
General Stacks
Non-fiction 332.02 (Browse shelf(Opens below)) Available 12165

There are no comments on this title.

to post a comment.
Hosted, Implemented, Customized & Maintained by: BestBookBuddies

Powered by Koha