Financial risk modelling and portfolio optimization with R/2nd ed.
Material type: TextPublication details: UK John Wiley & Sons 2016Description: 426pISBN:- 978-1-119-11966-1
- 658.155 PFA
Item type | Current library | Call number | Status | Date due | Barcode |
---|---|---|---|---|---|
Books | Department of Statistics General Stacks | 658.155 PFA (Browse shelf(Opens below)) | Available | STA3492 |
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658.155 MEL Risk analysis in finance and insurance | 658.155 MUR Understanding risk: | 658.155 PEL Information security risk analysis/3rd ed. | 658.155 PFA Financial risk modelling and portfolio optimization with R/2nd ed. | 658.155 PRO Option prices as probabilities:a newlook at generalized Black-Scholes formule | 658.155 SAU Financial markets and institutions: | 658.155 SHA Fundamentals of financial management/2nd ed. |
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