Picerno, J. (2018). Quantitative investment portfolio analytics in R: An introduction to R for modeling portfolio risk and return. Beta Publishing.
Chicago Style (17. basım) AtıfPicerno, James. Quantitative Investment Portfolio Analytics in R: An Introduction to R for Modeling Portfolio Risk and Return. Place of publication unknown: Beta Publishing, 2018.
MLA (9th ed.) AtıfPicerno, James. Quantitative Investment Portfolio Analytics in R: An Introduction to R for Modeling Portfolio Risk and Return. Beta Publishing, 2018.
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