Mathematical methods for finance : tools for asset and risk management /
Saved in:
主要作者: | Focardi, Sergio M. |
---|---|
其他作者: | Fabozzi, Frank J., Bali, Turan G. |
格式: | 电子 电子书 |
语言: | 英语 |
出版: |
Hoboken, New Jersey :
John Wiley & Sons, Inc.,
[2013]
|
丛编: | Frank J. Fabozzi series.
|
主题: | |
在线阅读: | An electronic book accessible through the World Wide Web; click to view |
标签: |
添加标签
没有标签, 成为第一个标记此记录!
|
相似书籍
-
Mathematical techniques in finance tools for incomplete markets /
由: Černý, Aleš, 1971-
出版: (2009) -
The mathematics of financial modeling and investment management /
由: Focardi, Sergio M.
出版: (2004) -
Counterparty credit risk, collateral and funding with pricing cases for all asset classes /
由: Brigo, Damiano
出版: (2013) -
Anticipating correlations a new paradigm for risk management /
由: Engle, R. F. (Robert F.)
出版: (2009) -
Dynamic copula methods in finance
出版: (2011)