000 00501nam a22001577a 4500
020 _a9781119119661
082 _a332.02855133
_bPFF
100 _aPfaff, Bernhard
_9141384
245 _aFinancial risk modelling and portfolio optimization with R
_cBernhard Pfaff
260 _aWest Sussex:
_bWiley,
_c2016.
300 _axvii, 426p.
650 _aFinancial risk - Mathematical models
_9141385
650 _aPortfolio management
_968680
650 _aR (computer program language)
_926069
942 _cBK
999 _c149818
_d149818