Financial risk modelling and portfolio optimization with R Pfaff Bernhard
Material type:
- 9781119119661 (hbk)
- B2T0bX:8D,92R, Q3;Q6
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Central Science Library | Central Science Library | B2T0bX:8D,92R Q3;Q6 (Browse shelf(Opens below)) | Available | SL1601578 |
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B2T0bX:8D Q9 System reliability management: Solutions and technologies | B2T0bX:8D,92R Q3 Financial risk modelling and portfolio optimization with R | B2T0bX:8D,92R Q3;1 Financial risk modelling and portfolio optimization with R | B2T0bX:8D,92R Q3;Q6 Financial risk modelling and portfolio optimization with R | B2T0bX:8g P3;Q0 RR Six sigma handbook : A complete guide for green belts, black belts and managers at all levels | B2T0bX:8K Q5 TOR Cost estimation: methods and tools | B2T0bX:8K Q7 Cost and optimization in government: An introduction to cost accounting, operations management, and quality control |
Appendix A-D 378-411p.; Index 413-426p.
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