Financial Risk Forecasting: The Theory and Practice of Forecasting Market Risk with Implementation in R and Matlab (Wiley Finance Series) - Erstausgabe
2011, ISBN: 9780470669433
Gebundene Ausgabe
Wiley, Gebundene Ausgabe, Auflage: 1. 294 Seiten, Publiziert: 2011-03-25T00:00:01Z, Produktgruppe: Buch, 1.32 kg, Recht, Kategorien, Bücher, Versicherungen, Branchen & Berufe, Business & … Mehr…
amazon.de |
Financial Risk Forecasting: the Theory and Practice of Forecasting Market Risk With Implementation in R and Matlab (Hardback Or Cased Book) - gebunden oder broschiert
2004, ISBN: 9780470669433
Hardback or Cased Book, Financial Risk Forecasting: The Theory and Practice of Forecasting Market Risk with Implementation in R and MATLAB (Hardback or Cased Book), New in New jacket, [PU… Mehr…
alibris.co.uk |
Financial Risk Forecasting: the Theory and Practice of Forecasting Market Risk With Implementation in R and Matlab - gebunden oder broschiert
2011, ISBN: 9780470669433
hardcover, Access codes and supplements are not guaranteed with used items. May be an ex-library book., Gebraucht, guter Zustand, [PU: Wiley]
alibris.co.uk |
Financial Risk Forecasting: the Theory and Practice of Forecasting Market Risk, With Implementation in R and Matlab - Erstausgabe
2011, ISBN: 9780470669433
Gebundene Ausgabe
Hardcover, 1st edition. 296 pages. 9.69x6.61x1.02 inches., Neubuch, [ED: 1], [PU: John Wiley & Sons Inc]
alibris.co.uk |
Blackwells.co.uk |
Financial Risk Forecasting: The Theory and Practice of Forecasting Market Risk with Implementation in R and Matlab (Wiley Finance Series) - Erstausgabe
2011, ISBN: 9780470669433
Gebundene Ausgabe
Wiley, Gebundene Ausgabe, Auflage: 1. 294 Seiten, Publiziert: 2011-03-25T00:00:01Z, Produktgruppe: Buch, 1.32 kg, Recht, Kategorien, Bücher, Versicherungen, Branchen & Berufe, Business & … Mehr…
Danielsson, Jon:
Financial Risk Forecasting: the Theory and Practice of Forecasting Market Risk With Implementation in R and Matlab (Hardback Or Cased Book) - gebunden oder broschiert2004, ISBN: 9780470669433
Hardback or Cased Book, Financial Risk Forecasting: The Theory and Practice of Forecasting Market Risk with Implementation in R and MATLAB (Hardback or Cased Book), New in New jacket, [PU… Mehr…
Financial Risk Forecasting: the Theory and Practice of Forecasting Market Risk With Implementation in R and Matlab - gebunden oder broschiert
2011
ISBN: 9780470669433
hardcover, Access codes and supplements are not guaranteed with used items. May be an ex-library book., Gebraucht, guter Zustand, [PU: Wiley]
Financial Risk Forecasting: the Theory and Practice of Forecasting Market Risk, With Implementation in R and Matlab - Erstausgabe
2011, ISBN: 9780470669433
Gebundene Ausgabe
Hardcover, 1st edition. 296 pages. 9.69x6.61x1.02 inches., Neubuch, [ED: 1], [PU: John Wiley & Sons Inc]
ISBN: 9780470669433
hardback, [PU: Wiley]
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Detailangaben zum Buch - Financial Risk Forecasting: The Theory and Practice of Forecasting Market Risk with Implementation in R and Matlab (Wiley Finance Series)
EAN (ISBN-13): 9780470669433
ISBN (ISBN-10): 0470669438
Gebundene Ausgabe
Taschenbuch
Erscheinungsjahr: 2011
Herausgeber: Wiley
274 Seiten
Gewicht: 0,658 kg
Sprache: eng/Englisch
Buch in der Datenbank seit 2009-09-30T08:23:42+02:00 (Berlin)
Detailseite zuletzt geändert am 2023-07-05T06:27:48+02:00 (Berlin)
ISBN/EAN: 0470669438
ISBN - alternative Schreibweisen:
0-470-66943-8, 978-0-470-66943-3
Alternative Schreibweisen und verwandte Suchbegriffe:
Autor des Buches: danielsson, daniels
Titel des Buches: matlab, implementation theory and practice, financial risk forecasting, the theory finance
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