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Financial Risk Modelling and Portfolio Optimization with R
Financial Risk Modelling and Portfolio Optimization with R
Preț: 429.00 lei
  • Carte in stoc la furnizor
  • Livrare estimativă în 30 zile
Cod produs: 287219
Autor(i): Bernhard Pfaff
Editura: Editura Wiley Academic
Anul aparitiei: 2016
Limba: engleza
Tip coperta: tare
ISBN: 9781119119661
Categorii: Carti in Limbi Straine, Computing and Information Technology, Computer software packages, Other software packages, Mathematical & statistical software, Carti in Limba Engleza, Carti
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