Financial Risk Modelling and Portfolio Optimization with R, by Pfaff | 9780470978702 | Bookbyte

Financial Risk Modelling and Portfolio Optimization with R, by Pfaff

ISBN: 9780470978702 / 0470978708

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Book info

Dimensions: 9.25 x 0.87 x 6.18 inches
Weight: 1.36 pounds
Note: Supplemental materials are not guaranteed for used textbooks or rentals (access codes, DVDs, workbooks)
Category: Media / Books / Non-Fiction / Education Books

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