Basket

  Untick selected:   0
  1. PFAFF, Bernhard. Financial Risk Modelling and Portfolio Optimization with R. 2nd Edition. Chichester : WILEY, 2016. 426 s. ISBN 978-1-119-11966-1. [Copy count : 2, currently available 1, at library only 1]
    book

    book


  This site uses cookies to make them easier to browse. Learn more about how we use cookies.