Financial risk modelling and portfolio optimization with R
Series: Statistics in practice Published by : Wiley, (Hoboken, N.J. :) Physical details: xvi, 356 p. : ill. ; ISBN:9780470978702 (cloth). Year: 2013Item type | Current library | Collection | Call number | Status | Date due | Barcode |
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KUFOS Central Library General Stacks | Non-fiction | 332.02 (Browse shelf(Opens below)) | Available | 12165 |
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332 THO/FI Financial Theory and Corporate Policy | 332 VAI/MO Money,Banking and International Trade | 332.01 BOR/FI Financial And Actuarial Statistics An Introduction | 332.02 Financial risk modelling and portfolio optimization with R | 332.03 MAJ/FI Financial Terms Simplified | 332.041 5 MAL/IN Indian Capital Market : Stock Price Seasonality | 332.041 5 PAN /CA Capital market and financial system in India |
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