study the risk based ranking of the daily financial assets (Companies stock) which changes with the selection of different measures of risk such as standard deviation, semi deviation, Beta & Value at risk. -- View this message in context: http://r.789695.n4.nabble.com/need-help-for-var-analysis-using-R-tp4676138.html Sent from the R help mailing list archive at Nabble.com.
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