MARC状态:审校 文献类型:西文图书 浏览次数:64
- 题名/责任者:
- Financial risk modelling and portfolio optimization with R / Bernhard Pfaff.
- 版本说明:
- Second edition.
- 出版发行项:
- Chichester, West Sussex : John Wiley & Sons Ltd, 2016.
- 出版发行项:
- 漏2016
- ISBN:
- 9781119119661
- ISBN:
- 1119119669
- 载体形态项:
- xvii, 426 pages : illustrations ; 24 cm
- 个人责任者:
- Pfaff, Bernhard, author.
- 论题主题:
- Financial risk-Mathematical models.
- 论题主题:
- Portfolio management.
- 中图法分类号:
- F275
- 书目附注:
- Includes bibliographical references and index.
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