Financial Risk Modelling and Portfolio Optimization with R Statistics in Practice

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Last edited by ImportBot
October 18, 2022 | History

Financial Risk Modelling and Portfolio Optimization with R Statistics in Practice

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Publish Date
Publisher
John Wiley & Sons

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Edition Availability
Cover of: Financial Risk Modelling and Portfolio Optimization with R
            
                Statistics in Practice

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Book Details


Classifications

Library of Congress
HG106 .P484 2013, HG106, HG4529.5

ID Numbers

Open Library
OL26124686M
Internet Archive
financialriskmod00pfaf
ISBN 13
9780470978702
LCCN
2012030904, 2012035100

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Download catalog record: RDF / JSON / OPDS | Wikipedia citation
October 18, 2022 Edited by ImportBot import existing book
October 18, 2020 Edited by MARC Bot import existing book
October 18, 2020 Edited by MARC Bot import existing book
June 30, 2019 Edited by MARC Bot import existing book
October 14, 2016 Created by Mek Added new book.