金融统计与数据分析(戴维.罗伯特)
I developed this textbook while teaching the course Statistics for Financial Engineering to master’s students in the financial engineering program at Cornell University. These students have already taken courses in portfolio management, fixed income securities, options, and stochastic calculus, so I
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金融统计与数据分析(戴维.罗伯特)R语言所有代码.7z
(预估有个4文件)
16-21.zip
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7-10.zip
10KB
11-15.zip
22KB
2-6.zip
15KB
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