Mathematical methods for finance : tools for asset and risk management /
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| Hovedforfatter: | |
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| Andre forfattere: | , |
| Format: | Electronisk eBog |
| Sprog: | engelsk |
| Udgivet: |
Hoboken, New Jersey :
John Wiley & Sons, Inc.,
[2013]
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| Serier: | Frank J. Fabozzi series.
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| Fag: | |
| Online adgang: | An electronic book accessible through the World Wide Web; click to view |
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Lignende værker: Mathematical methods for finance :
- Dynamic copula methods in finance
- Linear factor models in finance
- Extreme events in finance : a handbook of extreme value theory and its applications /
- A workout in computational finance
- Problems and solutions in mathematical finance.
- GARCH models structure, statistical inference, and financial applications /