Ahlawat, S. (2025) Statistical Quantitative Methods in Finance : From Theory to Quantitative Portfolio Management [cd]. 1 st ed. 2025. Berkeley, CA: Apress. doi:10.1007/979-8-8688-0962-0.
Chicago Manual of Style 17th edition (full note)Ahlawat, Samit. Statistical Quantitative Methods in Finance : From Theory to Quantitative Portfolio Management. Cd. 1 st ed. 2025. Berkeley, CA: Apress, [2025?], Berkeley, CA: Apress, [2025?]. https://doi.org/10.1007/979-8-8688-0962-0.
American Psychological Association 7th editionAhlawat, S. (ca. 2025). Statistical Quantitative Methods in Finance : From Theory to Quantitative Portfolio Management (1 st ed. 2025) [Cd]. Apress. https://doi.org/10.1007/979-8-8688-0962-0
Modern Language Association 9th editionAhlawat, S. Statistical Quantitative Methods in Finance : From Theory to Quantitative Portfolio Management. 1 st ed. 2025, cd, Apress, 2025, https://doi.org/10.1007/979-8-8688-0962-0.
ISO-690 (author-date, Deutsch)AHLAWAT, Samit, 2025. Statistical Quantitative Methods in Finance : From Theory to Quantitative Portfolio Management. 1 st ed. 2025. Berkeley, CA: Apress. ISBN 9798868809620