Financial risk modelling and portfolio optimization with R

By: Pfaff, BernhardMaterial type: TextTextSeries: Statistics in practicePublication details: West Sussex Wiley, 2013Description: xvi, 356 p. illISBN: 9780470978702 (cloth)Subject(s): Financial risk | Portfolio management | R (Computer program language)DDC classification: 332.028 551 33
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BK BK Kannur University Central Library
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