Financial Risk Modelling and Portfolio Optimization with R

Nonfiction, Science & Nature, Mathematics, Statistics
Big bigCover of Financial Risk Modelling and Portfolio Optimization with R

More books from Wiley

bigCover of the book From ER to E.T. by
bigCover of the book Natural and Artificial Photosynthesis by
bigCover of the book Transforming Private Landlords by
bigCover of the book Fundamentals of Crisis Counseling by
bigCover of the book Handbook of Improving Performance in the Workplace, Instructional Design and Training Delivery by
bigCover of the book Twitter For Dummies by
bigCover of the book Handbook of Psychological Assessment by
bigCover of the book Modernity and Ambivalence by
bigCover of the book 12 Simple Secrets Real Moms Know by
bigCover of the book Advances in Solid Oxide Fuel Cells and Electronic Ceramics II by
bigCover of the book Lifestorming by
bigCover of the book Trading Options in Turbulent Markets by
bigCover of the book SPSS Statistics for Data Analysis and Visualization by
bigCover of the book Clinical Electrocardiography, Enhanced Edition by
bigCover of the book Fundamentals of Veterinary Clinical Pathology by
We use our own "cookies" and third party cookies to improve services and to see statistical information. By using this website, you agree to our Privacy Policy