Pfaff, B., & Pfaff, B. (2013). Financial risk modelling and portafolio optimization with R (1. edition.). United Kingdom: Wiley.
Citación estilo ChicagoPfaff, Bernhard, y Bernhard Pfaff. Financial Risk Modelling and Portafolio Optimization With R. 1. edition. United Kingdom: Wiley, 2013.
Cita MLAPfaff, Bernhard, y Bernhard Pfaff. Financial Risk Modelling and Portafolio Optimization With R. 1. edition. United Kingdom: Wiley, 2013.
Precaución: Estas citas no son 100% exactas.