Financial risk modeling and portfolio optimization with R: Statistics in practice
Pfaff, Bernhard
Financial risk modeling and portfolio optimization with R: Statistics in practice - - New York John Wiley 2013 - XVI, 356
9780470978702
Portfolio management, Computer program language
332.02855133 PFA
Financial risk modeling and portfolio optimization with R: Statistics in practice - - New York John Wiley 2013 - XVI, 356
9780470978702
Portfolio management, Computer program language
332.02855133 PFA