01573nam0 2200349 i 450 SUN010282020151222124443.218-1-4614-8787-60.00N978-1-4614-8788-320151008d2014 |0engc50 baengUS|||| |||||*Statistical analysis of financial data in RRené Carmona2. edNew YorkSpringer2014XVII, 588 p.ill.24 cm001SUN00367912001 *Springer texts in statistics210 New YorkSpringer1985-.62J02General nonlinear regression [MSC 2020]MFSUNC02121162J05Linear regression; mixed models [MSC 2020]MFSUNC02315662M10Time series, auto-correlation, regression, etc. in statistics (GARCH) [MSC 2020]MFSUNC02507962G08Nonparametric regression and quantile regression [MSC 2020]MFSUNC02958762P05Applications of statistics to actuarial sciences and financial mathematics [MSC 2020]MFSUNC030682USNew YorkSUNL000011Carmona, René A.SUNV037086149642SpringerSUNV000178650ITSOL20201026RICAhttp://dx.doi.org/10.1007/978-1-4614-8788-3SUN0102820BIBLIOTECA CENTRO DI SERVIZIO SBA15CONS SBA EBOOK 4454 15EB 4454 20191106 Statistical analysis of financial data in R1410603UNICAMPANIA