Mathematics and statistics for financial risk management
Publication details: New Delhi ; Wiley ; 2012 Description: 291 p. 18.3 x 2.8 x 25.7 cmISBN: 9781118170625Subject(s): -- Financial ManagementDDC classification: 332.015195 MILItem type | Current library | Call number | Materials specified | URL | Copy number | Status | Date due | Barcode |
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Books | Library and Information Resource Centre | 332.015195 MIL (Browse shelf(Opens below)) | Online Resource | 1 | Available | 5540 |
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332.0151 LEE Handbook of quantitative finance and risk management | 332.0151 LEE Handbook of quantitative finance and risk management | 332.015195 ALH Mathematical finance | 332.015195 MIL Mathematics and statistics for financial risk management | 332.015195 MIL Econometric modelling of financial time series | 332.015195 REI Introduction to quantitative finance | 332.0151955 TSA Analysis of financial time series |
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