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Title Introduction to R for quantitative finance Subtitle solve a diverse range of problems with R, one of the most powerful tools for quantitative finance Author info Gergely Daróczi ... [et al.] Author Daróczi Gergely
Issue data Birmingham : Packt Publishing , 2013. - iii; 148 s. : gr., 24 cm Issue 1st ed. ISBN 978-1-78328-093-3 Note Bibliografia s. 139-143. Register Keywords finančný úpadok portfóliový manažment - riadenie portfólia - portfolio management program R R programm financie - finance Language English Country Great Britian systematics 336 005 Catal.org. BB301 - Univerzitná knižnica Univerzity Mateja Bela v Banskej Bystrici Database xkni - BOOKS Copy count 2, currently available 0, at library only 2 Call number Location Sublocation Umiestnenie Info 346220 Univerzita Mateja Bela Department of quantitative methods and information systems In-Library Use Only 346221 Univerzita Mateja Bela Department of quantitative methods and information systems In-Library Use Only