Mathematics and Statistics for Financial Risk Management
Mathematics and Statistics for Financial Risk Management is a practical guide to modern financial risk management for both practitioners and academics.
Specificaties
ISBN/EAN | 9781118750292 |
Auteur | Michael B. Miller |
Uitgever | Van Ditmar Boekenimport B.V. |
Taal | Engels |
Uitvoering | Gebonden in harde band |
Pagina's | 336 |
Lengte | 261.0 mm |
Breedte | 183.0 mm |