000 03145cam a2200829 a 4500
001 ocn808628433
003 OCoLC
005 20171224114042.0
006 m o d
007 cr |n||||||||a
008 120827s2013 enk ob 001 0 eng
010 _a 2012035100
040 _aDLC
_beng
_epn
_cDLC
_dN$T
_dWAU
_dYDXCP
_dUMI
_dB24X7
_dDG1
_dCOO
_dNOC
_dDEBSZ
_dTEFOD
_dOCLCQ
_dTEFOD
_dS3O
019 _a827083302
_a841170767
020 _a9781118477144
_q(electronic bk.)
020 _a1118477146
_q(electronic bk.)
020 _a9781118477137
_q(electronic bk.)
020 _a1118477138
_q(electronic bk.)
020 _a9781118477120
_q(electronic bk.)
020 _a111847712X
_q(electronic bk.)
020 _z9781118477113
020 _z1118477111
020 _z9780470978702
_q(cloth)
020 _z0470978708
_q(cloth)
029 1 _aAU@
_b000051433251
029 1 _aDEBBG
_bBV041053055
029 1 _aDEBBG
_bBV041121587
029 1 _aDEBSZ
_b39676505X
029 1 _aNZ1
_b15340402
029 1 _aNZ1
_b15871096
029 1 _aGBVCP
_b790206048
035 _a(OCoLC)808628433
_z(OCoLC)827083302
_z(OCoLC)841170767
037 _aCL0500000212
_bSafari Books Online
037 _aC09F1154-986D-4260-A82C-5377AA9D572B
_bOverDrive, Inc.
_nhttp://www.overdrive.com
042 _apcc
050 0 0 _aHG106
072 7 _aBUS
_x027000
_2bisacsh
082 0 0 _a332.0285/5133
_223
049 _aMAIN
100 1 _aPfaff, Bernhard.
245 1 0 _aFinancial risk modelling and portfolio optimization with R
_h[electronic resource] /
_cBernhard Pfaff.
260 _aChichester, West Sussex, UK :
_bJohn Wiley & Sons,
_c2013.
300 _a1 online resource.
336 _atext
_btxt
_2rdacontent
337 _acomputer
_bc
_2rdamedia
338 _aonline resource
_bcr
_2rdacarrier
490 1 _aStatistics in practice
504 _aIncludes bibliographical references and index.
588 0 _aPrint version record and CIP data provided by publisher.
650 0 _aFinancial risk
_xMathematical models.
650 0 _aPortfolio management.
650 0 _aR (Computer program language)
650 4 _aFinancial risk
_xMathematical models.
650 4 _aPortfolio management.
650 4 _aR (Computer program language)
650 7 _aBUSINESS & ECONOMICS
_xFinance.
_2bisacsh
650 7 _aPortföljförvaltning.
_2sao
650 7 _aR (programspråk)
_2sao
650 7 _aFinancial risk / Mathematical models.
_2local
650 7 _aPortfolio management.
_2local
650 7 _aR (Computer program language)
_2local
655 4 _aElectronic books.
776 0 8 _iPrint version:
_aPfaff, Bernhard.
_tFinancial risk modelling and portfolio optimization with R.
_dHoboken, N.J. : Wiley, 2013
_z9780470978702
_w(DLC) 2012030904
830 0 _aStatistics in practice.
856 4 0 _uhttp://onlinelibrary.wiley.com/book/10.1002/9781118477144
_zWiley Online Library
938 _aBooks 24x7
_bB247
_nbkf00051146
938 _aEBSCOhost
_bEBSC
_n531371
938 _aYBP Library Services
_bYANK
_n10001570
938 _aYBP Library Services
_bYANK
_n9984559
938 _aYBP Library Services
_bYANK
_n12879505
994 _a92
_bDG1
999 _c12151
_d12151