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Financial risk modelling and portfolio optimization with R

by Pfaff, Bernhard.
Material type: materialTypeLabelBookPublisher: West Sussex: Wiley, 2016Description: xvii, 426p.ISBN: 9781119119661.Subject(s): Financial risk - Mathematical models | Portfolio management | R (computer program language)
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Central Library AIOU Islamabad

Allama Iqbal Open University

Central Library

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332.02855133 PFF (Browse shelf) Available 123136
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332.0285 TSE e-Service 332.0285 WHE e-Commerce 332.0285 XII Internet finance in China 332.02855133 PFF Financial risk modelling and portfolio optimization with R 332.028557 ALB Big data science in finance 332.0285631 ESS The essentials of machine learning in finance and accounting 332.0285631 LOA Advances in financial machine learning

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