This book is a tutorial guide for new users that aims to help you understand the basics of and become accomplished with the use of R for quantitative finance. If you are looking to use R to solve problems in quantitative finance, then this book is for you. A basic knowledge of financial theory is assumed, but familiarity with R is not required. With a focus on using R to solve a wide range of issues, this book provides useful content for both the R beginner and more experience users.
- ISBN13 9781783280933
- Publish Date 22 November 2013 (first published 1 January 2013)
- Publish Status Active
- Publish Country GB
- Imprint Packt Publishing Limited
- Format Paperback
- Pages 164
- Language English