An introduction to analysis of financial data with R / / Ruey S. Tsay.
Saved in:
Superior document: | Wiley Series in Probability and Statistics |
---|---|
VerfasserIn: | |
Place / Publishing House: | Hoboken, New Jersey : : Wiley,, 2013. 2013 |
Year of Publication: | 2013 |
Language: | English |
Series: | Wiley series in probability and statistics.
|
Online Access: | |
Physical Description: | 1 online resource (416 pages) :; illustrations, graphs. |
Tags: |
Add Tag
No Tags, Be the first to tag this record!
|
Similar Items
-
Mastering pandas for finance : : master pandas, an open source Python Data Analysis Library, for financial data analysis / / Michael Heydt ; reviewers, James Beveridge [and four others] ; commissioning editor, Kartikey Pandey ; content development editor, Merwyn D'souza ; technical editor, Shashank Desai ; copy editor, Sarang Chari ; project coordinator, Neha Bhatnagar ; proofreaders, Stephen Copestake, Safis Editing ; indexer, Mariammal Chettiyar ; graphics, Sheetal Aute, Disha Haria ; production coordinator, Conidon Miranda ; cover work, Conidon Miranda.
by: Heydt, Michael,
Published: (2015.) -
Financial mathematics : : an introduction / / Suresh Chandra [and three others].
Published: (2013.) -
Financial risk modelling and portfolio optimization with R / / Bernhard Pfaff.
by: Pfaff, Bernhard,
Published: (2016.) -
Quantitative analysis in financial markets : collected papers of the New York University Mathematical Finance Seminar. / Volume II / / editor, Marco Avellaneda.
Published: (2001.) -
Quantitative analysis in financial markets : collected papers of the New York University Mathematical Finance Seminar. / Volume III / / editor, Marco Avellaneda.
Published: (2001.)