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Michael Phule

Michael PhuleMichael Puhle obtained a Ph.D. in Finance from the University of Passau in Germany. He worked for several years as a Senior Risk Controller at Allianz Global Investors in Munich, and as an Assistant Manager at KPMG's Financial Risk Management practic, where he was advising banks on market risk models. Michael is also the author of Bond Portfolio Optimization published by Springer Publishing. Read More Read Less

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Introduction to R for Quantitative Finance
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AED131
Binding:
Digital (delivered electronically)
Release:
13 Jan 2025
Language:
English
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