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Quantitative Investment Portfolio Analytics In R: An Introduction To R For Modeling Portfolio Risk and Return

Quantitative Investment Portfolio Analytics In R: An Introduction To R For Modeling Portfolio Risk and Return - Paperback

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Availability:In StockContributor:James PicernoPublish date:2018-06-18Pages:134
Language:EnglishPublisher:Createspace Independent Publishing PlatformISBN-13:9781987583519ISBN-10:1987583515UPC:9781987583519Book Category:Business & EconomicsBook Subcategory:Investments & SecuritiesBook Topic:Portfolio ManagementSize:9.02 x 5.98 x 0.29 inchesWeight:0.4211Product ID:SCTS1GBQHF
R is a free, open source programming language that's become a popular standard for financial and economic analysis. Quantitative Investment Portfolio Analytics In R is your guide to getting started with modeling portfolio risk and return in R. Even if you have no experience with the software, you'll be fluent in R at a basic level after reading this short primer. The chapters provide step-by-step instructions for tapping into R's powerful capabilities for portfolio analytics.
Language:EnglishPublisher:Createspace Independent Publishing PlatformISBN-13:9781987583519ISBN-10:1987583515UPC:9781987583519Book Category:Business & EconomicsBook Subcategory:Investments & SecuritiesBook Topic:Portfolio ManagementSize:9.02 x 5.98 x 0.29 inchesWeight:0.4211Product ID:SCTS1GBQHF
Publisher: Createspace Independent Publishing Platform

Contributor(s)

James Picerno

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