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Analyzing Financial Data and Implementing Financial Models Using R

Overview of attention for book
Attention for Chapter 6: Risk-Adjusted Portfolio Performance Measures
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Chapter title
Risk-Adjusted Portfolio Performance Measures
Chapter number 6
Book title
Analyzing Financial Data and Implementing Financial Models Using R
Published by
Springer, Cham, January 2015
DOI 10.1007/978-3-319-14075-9_6
Book ISBNs
978-3-31-914074-2, 978-3-31-914075-9
Authors

Clifford S. Ang

Mendeley readers

The data shown below were compiled from readership statistics for 2 Mendeley readers of this research output. Click here to see the associated Mendeley record.

Geographical breakdown

Country Count As %
Unknown 2 100%

Demographic breakdown

Readers by professional status Count As %
Student > Ph. D. Student 1 50%
Student > Master 1 50%
Readers by discipline Count As %
Business, Management and Accounting 1 50%
Economics, Econometrics and Finance 1 50%