Number of the records: 1  

Financial Risk Modelling and Portfolio Optimization with R

  1. Title Financial Risk Modelling and Portfolio Optimization with R
    Author infoBernhard Pfaff
    Author Pfaff Bernhard
    Issue dataChichester : WILEY , 2016. - 426 s.
    Issue2nd Edition
    ISBN978-1-119-11966-1 (vzadu na obale) , 9781119119661
    Document kindmonographs
    LanguageEnglish
    Country of EditionGreat Britain
    systematics 519.86 - Teória ekonomicko-matematických modelov
    Keywords riziko finančné * modelovanie * portfólio * optimalizácia * jazyky programovacie * softvér * teória portfólia * teória hodnoty * rady časové
    DatabaseBOOKS
    Copy count2, currently available 1, at library only 1
    Call number908314, 908385

    Call numberLocationSublocationInfo
    908314SEKSklad knižničného fonduavailaible
    908385SEKVšeobecná študovňaIn-Library Use Only

Number of the records: 1  

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