I’ve received several emails asking if my new R book — Quantitative Investment Portfolio Analytics In R: An Introduction To R For Modeling Portfolio Risk and Return — is available in the UK and Europe. In a word, yes (as well as ja, oui, and sí,), although please note that in all cases the text is still in English (or American, as the British would probably advise). In any case, here are the book’s Amazon links for readers in the UK, Germany, France, Italy and Spain:
Amazon UK
Amazon Germany
Amazon France
Amazon Italy
Amazon Spain
And, of course, you can also find the book on the Amazon US site.