Financial Risk Modelling and Portfolio Optimization with R (Statistics in Practice) 1st (first) Edition by Pfaff, Bernhard published by Wiley (2013)
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Financial Risk Modelling and Portfolio Optimization with R (Statistics in Practice) 1st (first) Edition by Pfaff, Bernhard published by Wiley (2013)

Publisher Wiley

Book Details

Publisher Wiley
ISBN / ASIN B00E6TIS6Y
ISBN-13 978B00E6TIS66
Sales Rank #99,999,999
Marketplace United States 🇺🇸
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