Cargando…
Financial risk modelling and portfolio optimization with R
Autor principal: | Pfaff, Bernhard |
---|---|
Lenguaje: | eng |
Publicado: |
Wiley
2013
|
Materias: | |
Acceso en línea: | http://cds.cern.ch/record/1555095 |
Ejemplares similares
-
How to really ruin your financial life and portfolio
por: Stein, Benjamin
Publicado: (2012) -
What's behind the numbers?: a guide to exposing financial chicanery and avoiding huge losses in your portfolio
por: Del Vecchio, John, et al.
Publicado: (2013) -
Portfolio construction and analytics
por: Pachamanova, Dessislava A, et al.
Publicado: (2016) -
Applied equity analysis and portfolio management: tools to analyze and manage your stock portfolio
por: Weigand, Robert A
Publicado: (2014) -
Designing a digital portfolio
por: Baron, Cynthia
Publicado: (2010)