Bernhard Pfaff

Bernhard Puppe

titlemedia type ISBN-13year of publication
Analysis of Integrated and Cointegrated Time Series with RPaperback 978-0-387-56757-02008
Analysis of Integrated and Cointegrated Time Series with R   " 978-0-387-75966-12008
Analysis of Integrated and Cointegrated Time Series with R   " 978-0-387-27959-62005
Financial Risk Modelling and Portfolio Optimization with RHardcover 978-1-119-11966-12016
Financial Risk Modelling and Portfolio Optimization with R   " 978-0-470-97870-22013
Financial Risk Modelling and Portfolio Optimization with RPrinted Access Code 978-1-118-47714-42012
Modellierung von Einzel- und Portfoliorisiken: Fat Tails, Volatilitätsbündelung und CopulaeGebunden
978-3-89981-227-52010
Modelling Financial Risks: Fat Tails, Volatility Clustering and Copulae   "
978-3-89981-229-92010

Frankfurter Allgemeine Buch · Springer · Wiley

 

Bernhard Pfaffenlehner