The mathematics of financial models : solving real-world problems with quantitative methods /
Guardado en:
Autor principal: | Ravindran, Kannoo (Autor) |
---|---|
Formato: | Electrónico eBook |
Lenguaje: | inglés |
Publicado: |
Hoboken, New Jersey :
Wiley,
2014.
|
Colección: | Wiley finance series ;
Volume 658. |
Materias: | |
Acceso en línea: | An electronic book accessible through the World Wide Web; click to view |
Etiquetas: |
Agregar Etiqueta
Sin Etiquetas, Sea el primero en etiquetar este registro!
|
Ejemplares similares
The mathematics of financial models : solving real-world problems with quantitative methods /
por: Ravindran, Kannoo
Publicado: (2014)
por: Ravindran, Kannoo
Publicado: (2014)
Measure, probability, and mathematical finance : a problem oriented approach /
por: Gan, Guojun, 1979-, et al.
Publicado: (2014)
por: Gan, Guojun, 1979-, et al.
Publicado: (2014)
Measure, probability, and mathematical finance : a problem oriented approach /
por: Gan, Guojun, 1979-, et al.
Publicado: (2014)
por: Gan, Guojun, 1979-, et al.
Publicado: (2014)
ARCH models for financial applications
por: Xekalaki, Evdokia
Publicado: (2010)
por: Xekalaki, Evdokia
Publicado: (2010)
ARCH models for financial applications
por: Xekalaki, Evdokia
Publicado: (2010)
por: Xekalaki, Evdokia
Publicado: (2010)
Implementing models in quantitative finance : methods and cases /
por: Fusai, Gianluca
Publicado: (2008)
por: Fusai, Gianluca
Publicado: (2008)
Implementing models in quantitative finance : methods and cases /
por: Fusai, Gianluca
Publicado: (2008)
por: Fusai, Gianluca
Publicado: (2008)
Financial modeling in excel /
por: Fairhurst, Danielle Stein
Publicado: (2017)
por: Fairhurst, Danielle Stein
Publicado: (2017)
Financial modeling in excel /
por: Fairhurst, Danielle Stein
Publicado: (2017)
por: Fairhurst, Danielle Stein
Publicado: (2017)
Financial modelling in practice a concise guide for intermediate and advanced level /
por: Rees, Michael, 1964-
Publicado: (2008)
por: Rees, Michael, 1964-
Publicado: (2008)
Financial modelling in practice a concise guide for intermediate and advanced level /
por: Rees, Michael, 1964-
Publicado: (2008)
por: Rees, Michael, 1964-
Publicado: (2008)
Haskell financial data modeling and predictive analytics /
por: Ryzhov, Pavel
Publicado: (2013)
por: Ryzhov, Pavel
Publicado: (2013)
Haskell financial data modeling and predictive analytics /
por: Ryzhov, Pavel
Publicado: (2013)
por: Ryzhov, Pavel
Publicado: (2013)
The mathematics of financial modeling and investment management /
por: Focardi, Sergio M.
Publicado: (2004)
por: Focardi, Sergio M.
Publicado: (2004)
The mathematics of financial modeling and investment management /
por: Focardi, Sergio M.
Publicado: (2004)
por: Focardi, Sergio M.
Publicado: (2004)
Fundamental models in financial theory /
por: Peleg, Doron, 1952-
Publicado: (2014)
por: Peleg, Doron, 1952-
Publicado: (2014)
Fundamental models in financial theory /
por: Peleg, Doron, 1952-
Publicado: (2014)
por: Peleg, Doron, 1952-
Publicado: (2014)
Quantitative analysis in financial markets collected papers of the New York University Mathematical Finance Seminar.
Publicado: (2001)
Publicado: (2001)
Quantitative analysis in financial markets collected papers of the New York University Mathematical Finance Seminar.
Publicado: (2001)
Publicado: (2001)
Advanced financial modelling
Publicado: (2009)
Publicado: (2009)
Advanced financial modelling
Publicado: (2009)
Publicado: (2009)
Financial markets and the real economy /
Publicado: (2006)
Publicado: (2006)
Financial markets and the real economy /
Publicado: (2006)
Publicado: (2006)
GARCH models structure, statistical inference, and financial applications /
por: Francq, Christian
Publicado: (2010)
por: Francq, Christian
Publicado: (2010)
GARCH models structure, statistical inference, and financial applications /
por: Francq, Christian
Publicado: (2010)
por: Francq, Christian
Publicado: (2010)
Financial modelling theory, implementation and practice (with Matlab source) /
por: Kienitz, Joerg
Publicado: (2012)
por: Kienitz, Joerg
Publicado: (2012)
Financial modelling theory, implementation and practice (with Matlab source) /
por: Kienitz, Joerg
Publicado: (2012)
por: Kienitz, Joerg
Publicado: (2012)
Handbook in Monte Carlo simulation : applications in financial engineering, risk management, and economics /
por: Brandimarte, Paolo
Publicado: (2014)
por: Brandimarte, Paolo
Publicado: (2014)
Handbook in Monte Carlo simulation : applications in financial engineering, risk management, and economics /
por: Brandimarte, Paolo
Publicado: (2014)
por: Brandimarte, Paolo
Publicado: (2014)
Quantitative analysis in financial markets collected papers of the New York University Mathematical Finance Seminar.
Publicado: (2001)
Publicado: (2001)
Quantitative analysis in financial markets collected papers of the New York University Mathematical Finance Seminar.
Publicado: (2001)
Publicado: (2001)
Mathematics for finance : an introduction to financial engineering /
por: Capinski, Marek
Publicado: (2011)
por: Capinski, Marek
Publicado: (2011)
Mathematics for finance : an introduction to financial engineering /
por: Capinski, Marek
Publicado: (2011)
por: Capinski, Marek
Publicado: (2011)
Linear factor models in finance
Publicado: (2005)
Publicado: (2005)
Linear factor models in finance
Publicado: (2005)
Publicado: (2005)
Problems and solutions in mathematical finance.
por: Chin, Eric, 1971-, et al.
Publicado: (2014)
por: Chin, Eric, 1971-, et al.
Publicado: (2014)
Problems and solutions in mathematical finance.
por: Chin, Eric, 1971-, et al.
Publicado: (2014)
por: Chin, Eric, 1971-, et al.
Publicado: (2014)
Advances in quantitative analysis of finance and accounting.
Publicado: (2006)
Publicado: (2006)
Advances in quantitative analysis of finance and accounting.
Publicado: (2006)
Publicado: (2006)
Mathematical methods for finance : tools for asset and risk management /
por: Focardi, Sergio M.
Publicado: (2013)
por: Focardi, Sergio M.
Publicado: (2013)
Ejemplares similares
-
The mathematics of financial models : solving real-world problems with quantitative methods /
por: Ravindran, Kannoo
Publicado: (2014) -
Measure, probability, and mathematical finance : a problem oriented approach /
por: Gan, Guojun, 1979-, et al.
Publicado: (2014) -
Measure, probability, and mathematical finance : a problem oriented approach /
por: Gan, Guojun, 1979-, et al.
Publicado: (2014) -
ARCH models for financial applications
por: Xekalaki, Evdokia
Publicado: (2010) -
ARCH models for financial applications
por: Xekalaki, Evdokia
Publicado: (2010)