Description: Financial Risk Modelling and Portfolio Optimization with R - VERY GOOD Product Id:1119119669 Condition:USED_VERY_GOOD Notes:Item in good condition. Textbooks may not include supplemental items i.e. CDs, access codes etc...
Price: 86.77 USD
Location: Montgomery, Illinois
End Time: 2024-11-18T00:40:31.000Z
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Return shipping will be paid by: Seller
All returns accepted: Returns Accepted
Item must be returned within: 30 Days
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Brand: Unbranded
Book Title: Financial Risk Modelling and Portfolio Optimization with R
MPN: Does not apply
Number of Pages: 448 Pages
Publication Name: Financial Risk Modelling and Portfolio Optimization with R
Language: English
Publisher: Wiley & Sons, Incorporated, John
Item Height: 1.1 in
Subject: Programming Languages / General, Finance / Financial Risk Management, Investments & Securities / Portfolio Management, Probability & Statistics / General
Publication Year: 2016
Item Weight: 27.3 Oz
Type: Textbook
Subject Area: Mathematics, Computers, Business & Economics
Author: Bernhard Pfaff
Item Length: 8.9 in
Item Width: 6.2 in
Format: Hardcover