Pfaff, B. (2013) Financial risk modelling and portfolio optimization with R [book], Statistics in practice. Chichester: Wiley.
Chicago Manual of Style 17th edition (full note)Pfaff, Bernhard. Financial risk modelling and portfolio optimization with R. Book. Statistics in practice. Chichester: Wiley, [2013?], Chichester: Wiley, [2013?].
American Psychological Association 7th editionPfaff, B. (ca. 2013). Financial risk modelling and portfolio optimization with R [Book]. In Statistics in practice. Wiley.
Modern Language Association 9th editionPfaff, B. „Financial risk modelling and portfolio optimization with R“. Statistics in practice, book, Wiley, 2013.
ISO-690 (author-date, Deutsch)PFAFF, Bernhard, 2013. Financial risk modelling and portfolio optimization with R. Chichester: Wiley. ISBN 0470978708
Achtung: Diese Zitate sind unter Umständen nicht zu 100% korrekt.