Financial Risk Modelling and Portfolio Optimization with R > Editions
by Bernhard Pfaff First published October 17th 2012
Published January 1st 2013
by WILEY
1, Hardcover, 374 pages
Published August 16th 2016
by Wiley
2, Kindle Edition, 397 pages
Published October 3rd 2016
by Wiley
2, Hardcover, 448 pages
Published November 5th 2012
by Wiley
Kindle Edition, 376 pages
Published
by John Wiley & Sons; 1 edition (8 Jan. 2013)
Board Book, 0 pages
Published August 16th 2016
by Wiley
ebook, 448 pages
Published August 22nd 2016
by Wiley
Kindle Edition, 448 pages
Published October 17th 2012
by Wiley
Kindle Edition, 376 pages
Published November 5th 2012
by Wiley
Kindle Edition, 376 pages









