000 00419nam a2200145Ia 4500
020 _a9780470978702
082 _a332.02855133 PFA
100 _aPfaff, Bernhard
245 _aFinancial risk modeling and portfolio optimization with R: Statistics in practice
250 _a-
260 _bJohn Wiley
_aNew York
_c2013
300 _aXVI, 356
650 _aPortfolio management, Computer program language
942 _cBK
999 _c101725
_d101725