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- 2012030904 contributor B12462966.
- 2012030904 created "2013.".
- 2012030904 date "2013".
- 2012030904 date "2013.".
- 2012030904 dateCopyrighted "2013.".
- 2012030904 description "Includes bibliographical references and index.".
- 2012030904 extent "xvi, 356 p. :".
- 2012030904 identifier "9780470978702 (cloth)".
- 2012030904 isPartOf "Statistics in practice".
- 2012030904 issued "2013".
- 2012030904 issued "2013.".
- 2012030904 language "eng".
- 2012030904 publisher "Hoboken, N.J. : Wiley,".
- 2012030904 subject "332.0285/5133 23".
- 2012030904 subject "Financial risk Mathematical models.".
- 2012030904 subject "HG106 .P484 2013".
- 2012030904 subject "Portfolio management.".
- 2012030904 subject "R (Computer program language)".
- 2012030904 title "Financial risk modelling and portfolio optimization with R / Bernhard Pfaff.".
- 2012030904 type "text".