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Financial Risk Modelling and Portfolio Optimization with R
Title Financial Risk Modelling and Portfolio Optimization with R Author info Bernhard Pfaff Author Pfaff Bernhard Issue data Chichester : WILEY , 2016. - 426 s. Issue 2nd Edition ISBN 978-1-119-11966-1 (vzadu na obale) , 9781119119661 Document kind monographs Language English Country of Edition Great Britain systematics 519.86 - Teória ekonomicko-matematických modelov Keywords riziko finančné * modelovanie * portfólio * optimalizácia * jazyky programovacie * softvér * teória portfólia * teória hodnoty * rady časové Database BOOKS Copy count 2, currently available 1, at library only 1 Call number 908314, 908385
book
Call number Location Sublocation Info 908314 SEK Sklad knižničného fondu availaible 908385 SEK Všeobecná študovňa In-Library Use Only
Number of the records: 1