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 Tools for Signal Compression by
bigCover of the book Girls, Delinquency, and Juvenile Justice by
bigCover of the book Essential Microbiology for Pharmacy and Pharmaceutical Science by
bigCover of the book Investing in the Age of Sovereign Defaults by
bigCover of the book Adams and Stashak's Lameness in Horses by
bigCover of the book Nationalism in Asia by
bigCover of the book Towers, Turbines and Transmission Lines by
bigCover of the book Multicultural Competence in Student Affairs by
bigCover of the book Intervening for Stepfamily Success by
bigCover of the book Inbound Marketing, Revised and Updated by
bigCover of the book The Leadership Journey by
bigCover of the book The Closing of the Net by
bigCover of the book CCNA Cloud Complete Study Guide by
bigCover of the book 50 Great Myths of Human Evolution by
bigCover of the book The Ongoing Technological System 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