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Pfaff, Bernhard,
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1
Analysis of integrated and cointegrated time series with R
2nd ed.
by
Pfaff
,
Bernhard
.
Published: Springer, 2008
Description: 1 online resource (xx, 188 pages) : illustrations.
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2
Financial risk modelling and portfolio optimization with R
Second edition.
by
Pfaff
,
Bernhard
,
Published: Joh Wiley & Sons, Ltd., 2016
Description: 1 online resource (xvii, 426 pages).
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Related Subjects
R (Computer program language)
Financial risk Mathematical models
Portfolio management
Time-series analysis Computer programs
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