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Financial Risk Modelling and Portfolio Optimization with R by Bernhard Pfaff

By: Pfaff, Bernhard.
Material type: materialTypeLabelBookPublisher: Chichester John Wiley and Sons 2016Edition: 2nd ed.Description: 426p.ISBN: 9781119119661.Subject(s): Financial risk - Mathematical models | Portfolio Management | R (Computer program language)DDC classification: 332.02855133
List(s) this item appears in: R Books
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Item type Current location Collection Call number Status Date due Barcode Item holds
Book Book Institute of Management
General 332.02855133 PFA (Browse shelf) Available M0034538
Total holds: 0

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