Pfaff, B. (2013). Financial risk modelling and portfolio optimization with R (1. publ.). Wiley.
Chicago Style (17th ed.) CitationPfaff, Bernhard. Financial Risk Modelling and Portfolio Optimization with R. 1. publ. Chichester: Wiley, 2013.
MLA (9th ed.) CitationPfaff, Bernhard. Financial Risk Modelling and Portfolio Optimization with R. 1. publ. Wiley, 2013.
Warning: These citations may not always be 100% accurate.