|   | by Bernhard PfaffPrinted Access Code ISBN: 978-1-118-47714-4 ISBN-10: 1-118-47714-6 John Wiley & Sons · 2012 | 
| See also: | ||
| 2016 | Hardcover | Financial Risk Modelling and Portfolio Optimization with R | 
| 2013 | Hardcover | Financial Risk Modelling and Portfolio Optimization with R |