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Author Pfaff, Bernhard, author.

Title Financial risk modelling and portfolio optimization with R / Bernhard Pfaff.

Publication Info. Chichester, [England] : Wiley, 2016.


Location Call No. OPAC Message Status
 Axe ProQuest E-Book  Electronic Book    ---  Available
Edition Second edition.
Description 1 online resource (497 pages)
text rdacontent
computer rdamedia
online resource rdacarrier
Bibliography Includes bibliographical references at the end of each chapters and index.
Note Description based on print version record.
Subject Financial risk -- Mathematical models.
Portfolio management.
R (Computer program language)
Genre/Form Electronic books.
Other Form: Print version: Pfaff, Bernhard. Financial risk modelling and portfolio optimization with R. Second edition. Chichester, [England] : Wiley, c2016 approximately 497 pages 9781119119661 2016016544
ISBN 9781119119661
9781119119685 (e-book)

Available items only