Financial risk forecasting : the theory and practice of forecasting market risk, with implementation in R and Matlab / / Jon Danielsson.

Saved in:
书目详细资料
Superior document:Wiley finance series
:
TeilnehmendeR:
出版年:2011
语言:English
丛编:Wiley finance series.
在线阅读:
实物描述:xxi, 274 p. :; ill.
标签: 添加标签
没有标签, 成为第一个标记此记录!
实物特征
参考书目:Includes bibliographical references (p. [255]-258) and index.
ISBN:0470669438
111997710X
1119977118
1119977126
9780470669433
9781119977100
9781119977117
9781119977124
9781119977100 (electronic bk.)
Hierarchical level:Monograph
Statement of Responsibility: Jon Danielsson.