Financial risk modeling and portfolio optimization with R: Statistics in practice
Material type: TextPublication details: John Wiley New York 2013Edition: -Description: XVI, 356ISBN:- 9780470978702
- 332.02855133 PFA
Item type | Current library | Collection | Call number | Status | Date due | Barcode | |
---|---|---|---|---|---|---|---|
Books | H.T. Parekh Library | GSB Collection | 332.02855133 PFA (Browse shelf(Opens below)) | Available | B1269 |
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332.024 MAS Financial DNA discovering your unique financial personality for a quality life. | 332.024 ROS Personal finance | 332.02402 CRO Now You can Profit from inflation | 332.02855133 PFA Financial risk modeling and portfolio optimization with R: Statistics in practice | 332.02855133 SCH Quantitative finance : an object-oriented approach in C++ | 332.0285554 HEL Financial modelling and asset valuation with Excel | 332.03 BAN Palgrave Macmillan dictionary of finance, investment, and banking |
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