Financial risk modelling and portfolio optimization with R / Bernhard Pfaff.
2016
HG106 .P434 2016
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Details
Title
Financial risk modelling and portfolio optimization with R / Bernhard Pfaff.
Author
Pfaff, Bernhard, author.
Edition
Second edition.
ISBN
9781119119661
9781119119685 (electronic bk.)
9781119119685 (electronic bk.)
Published
Chichester, [England] : Wiley, 2016.
Copyright
©2016
Language
English
Description
1 online resource (497 pages)
Call Number
HG106 .P434 2016
Dewey Decimal Classification
332.0285/5133
Bibliography, etc. Note
Includes bibliographical references at the end of each chapters and index.
Access Note
Access limited to authorized users.
Source of Description
Description based on print version record.
Available in Other Form
Print version: Pfaff, Bernhard. Financial risk modelling and portfolio optimization with R. Second edition. Chichester, [England] : Wiley, c2016 9781119119661
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