Financial risk modelling and portfolio optimization with R / Bernhard Pfaff.

Author/creator Pfaff, Bernhard
Format Electronic
EditionSecond edition.
Publication InfoSouthern Gate, Chichester, West Sussex, UK : Wiley, 2016.
Descriptionxvii, 426 pages ; 24 cm
Supplemental ContentFull text available from Ebook Central - Academic Complete
Subjects

Bibliography noteIncludes bibliographical references and index.
Access restrictionAvailable only to authorized users.
Technical detailsMode of access: World Wide Web
Genre/formElectronic books.
LCCN 2016016544
ISBN9781119119661 (cloth)

Availability

Library Location Call Number Status Item Actions
Electronic Resources Access Content Online ✔ Available