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 Multiple Sclerosis by
bigCover of the book Attrition in the Pharmaceutical Industry by
bigCover of the book Cosmetic Dermatology by
bigCover of the book The AST Handbook of Transplant Infections by
bigCover of the book Excel PivotTables and PivotCharts by
bigCover of the book Uncertainty in Risk Assessment by
bigCover of the book Occupational Therapy and Stroke by
bigCover of the book Pushback by
bigCover of the book Dispersion Decay and Scattering Theory by
bigCover of the book Sustainable Renovation by
bigCover of the book Conservation of Wildlife Populations by
bigCover of the book Timing Solutions for Swing Traders by
bigCover of the book The Retail Revival by
bigCover of the book Popular Music as Promotion by
bigCover of the book Modal Testing 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