LEADER 01573nam0 2200349 i 450 001 SUN0102820 005 20151222124443.21 010 $a8-1-4614-8787-6$d0.00 017 70$2N$a978-1-4614-8788-3 100 $a20151008d2014 |0engc50 ba 101 $aeng 102 $aUS 105 $a|||| ||||| 200 1 $a*Statistical analysis of financial data in R$fRené Carmona 205 $a2. ed 210 $aNew York$cSpringer$d2014 215 $aXVII, 588 p.$cill.$d24 cm 410 1$1001SUN0036791$12001 $a*Springer texts in statistics$1210 $aNew York$cSpringer$d1985-. 606 $a62J02$xGeneral nonlinear regression [MSC 2020]$2MF$3SUNC021211 606 $a62J05$xLinear regression; mixed models [MSC 2020]$2MF$3SUNC023156 606 $a62M10$xTime series, auto-correlation, regression, etc. in statistics (GARCH) [MSC 2020]$2MF$3SUNC025079 606 $a62G08$xNonparametric regression and quantile regression [MSC 2020]$2MF$3SUNC029587 606 $a62P05$xApplications of statistics to actuarial sciences and financial mathematics [MSC 2020]$2MF$3SUNC030682 620 $aUS$dNew York$3SUNL000011 700 1$aCarmona$b, René A.$3SUNV037086$0149642 712 $aSpringer$3SUNV000178$4650 801 $aIT$bSOL$c20201026$gRICA 856 4 $uhttp://dx.doi.org/10.1007/978-1-4614-8788-3 912 $aSUN0102820 950 $aBIBLIOTECA CENTRO DI SERVIZIO SBA$d15CONS SBA EBOOK 4454 $e15EB 4454 20191106 996 $aStatistical analysis of financial data in R$91410603 997 $aUNICAMPANIA