Financial risk modelling and portafolio optimization with R /
| Main Author: | |
|---|---|
| Format: | Book |
| Language: | English |
| Published: |
United Kingdom :
Wiley,
2013.
|
| Edition: | 1. edition |
| Series: | Statistics in practice
|
| Subjects: |
| Item Description: | Impreso en Malaysia |
|---|---|
| Physical Description: | xvi, 356 páginas : ilustraciones |
| ISBN: | 9780470978702 |