Miller, M. B. (2013). Mathematics and statistics for financial risk management (Second edition.). Wiley.
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Cita Chicago (17th ed.)
Miller, Michael B. Mathematics and Statistics for Financial Risk Management. Second edition. Hoboken: Wiley, 2013.
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Cita MLA (9th ed.)
Miller, Michael B. Mathematics and Statistics for Financial Risk Management. Second edition. Wiley, 2013.
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Atenció: Aquestes cites poden no estar 100% correctes.