Quantitative investment portfolio analytics in R an introduction to R for modeling portfolio risk and return
Gardado en:
Autor Principal: | |
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Formato: | Libro |
Idioma: | inglés |
Publicado: |
Place of publication unknown
Beta Publishing
2018
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Subjects: |
SPAA Library: On Shelves
Número de Clasificación: |
Unknown |
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Copia Unknown | Not for loan Lembrar isto |