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  • Financial Risk Modelling and Portfolio Optimization with R: Second Edition by Be

    • Item No : 396895163720
    • Condition : Brand New
    • Brand : No brand Info
    • Seller : grandeagleretail
    • Current Bid : US $135.50
    • * Item Description

    • This edition has been extensively revised to include new topics on risk surfaces and probabilistic utility optimization as well as an extended introduction to R language. Edition 2nd. Format Hardcover.
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