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Mathematical Methods for Finance: Tools for Asset and Risk Management - Frank J. Fabozzi Series
Sergio M. Focardi
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Mathematical Methods for Finance: Tools for Asset and Risk Management - Frank J. Fabozzi Series
Sergio M. Focardi
The mathematical and statistical tools needed in the rapidly growing quantitative finance field With the rapid growth in quantitative finance, practitioners must achieve a high level of proficiency in math and statistics. Mathematical Methods and Statistical Tools for Finance, part of the Frank J.
320 pages, illustrations
Media | Böcker Inbunden Bok (Inbunden bok med hårda pärmar och skyddsomslag) |
Releasedatum | 5 november 2013 |
ISBN13 | 9781118312636 |
Utgivare | John Wiley & Sons Inc |
Antal sidor | 320 |
Mått | 152 × 236 × 27 mm · 528 g |