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02866nam a2200757 4500 |
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ocn808628433 |
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OCoLC |
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20170124071657.2 |
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120827s2013 enk ob 001 0 eng |
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|a 2012035100
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|a DLC
|b eng
|e pn
|c DLC
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|d WAU
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|a 827083302
|a 841170767
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|a 9781118477144
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|a 1118477146
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|q (electronic bk.)
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|a CL0500000212
|b Safari Books Online
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|a C09F1154-986D-4260-A82C-5377AA9D572B
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|n http://www.overdrive.com
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|2 bisacsh
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|a 332.0285/5133
|2 23
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|a MAIN
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100 |
1 |
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|a Pfaff, Bernhard.
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245 |
1 |
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|a Financial risk modelling and portfolio optimization with R
|h [electronic resource] /
|c Bernhard Pfaff.
|
264 |
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1 |
|a Chichester, West Sussex, UK :
|b John Wiley & Sons,
|c 2013.
|
300 |
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|a 1 online resource.
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336 |
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|a text
|b txt
|2 rdacontent
|
337 |
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|a computer
|b c
|2 rdamedia
|
338 |
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|a online resource
|b cr
|2 rdacarrier
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490 |
1 |
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|a Statistics in practice
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504 |
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|a Includes bibliographical references and index.
|
588 |
0 |
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|a Print version record and CIP data provided by publisher.
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650 |
|
0 |
|a Financial risk
|x Mathematical models.
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650 |
|
0 |
|a Portfolio management.
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650 |
|
0 |
|a R (Computer program language)
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650 |
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4 |
|a Financial risk
|x Mathematical models.
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650 |
|
4 |
|a Portfolio management.
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650 |
|
4 |
|a R (Computer program language)
|
650 |
|
7 |
|a BUSINESS & ECONOMICS
|x Finance.
|2 bisacsh
|
650 |
|
7 |
|a Portföljförvaltning.
|2 sao
|
650 |
|
7 |
|a R (programspråk)
|2 sao
|
650 |
|
7 |
|a Financial risk / Mathematical models.
|2 local
|
650 |
|
7 |
|a Portfolio management.
|2 local
|
650 |
|
7 |
|a R (Computer program language)
|2 local
|
655 |
|
4 |
|a Electronic books.
|
776 |
0 |
8 |
|i Print version:
|a Pfaff, Bernhard.
|t Financial risk modelling and portfolio optimization with R.
|d Hoboken, N.J. : Wiley, 2013
|z 9780470978702
|w (DLC) 2012030904
|
830 |
|
0 |
|a Statistics in practice.
|
856 |
4 |
0 |
|u https://doi.org/10.1002/9781118477144
|z Full Text via HEAL-Link
|
994 |
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|a 92
|b DG1
|