Financial risk modelling and portfolio optimization with r
Publication details: New Delhi ; Wiley ; 2013 Description: 356 p. 16.3 x 2.4 x 23.9 cmISBN: 9780470978702Subject(s): -- ManagementDDC classification: 332.02855133 PFAItem type | Current library | Call number | URL | Copy number | Status | Date due | Barcode |
---|---|---|---|---|---|---|---|
![]() |
Library and Information Resource Centre | 332.02855133 PFA (Browse shelf(Opens below)) | Online Resource | 1 | Checked out | 2017-08-05 | 5489 |
Browsing Library and Information Resource Centre shelves Close shelf browser (Hides shelf browser)
![]() |
No cover image available |
![]() |
![]() |
![]() |
![]() |
![]() |
||
332.024 MAD Personal finance | 332.024 MAD Personal finance (Acc. No. 3568) | 332.0285 BEN Financial analytics with r : | 332.02855133 PFA Financial risk modelling and portfolio optimization with r | 332.028553 ANG Analyzing financial data and implementing financial models using r | 332.028553 KIE Financial modelling | 332.0285554 CHA Financial modeling with crystal ball and excel |
There are no comments on this title.