Mathematics and statistics for financial risk management
Year of publication: |
2012
|
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Authors: | Miller, Michael B. |
Publisher: |
Hoboken, New Jersey : Wiley |
Subject: | Finanzmathematik | Mathematical finance | Statistische Methode | Statistical method | Ökonometrie | Econometrics | Portfolio-Management | Portfolio selection | Theorie | Theory | Risikomanagement |
Description of contents: | Table of Contents [gbv.de] ; Description [swbplus.bsz-bw.de] ; Description [zbmath.org] |
Extent: | XI, 291 S. graph. Darst. |
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Series: | |
Type of publication: | Book / Working Paper |
Type of publication (narrower categories): | Lehrbuch ; Textbook |
Language: | English |
Notes: | Includes bibliographical references and index |
ISBN: | 978-1-118-17062-5 ; 978-1-118-22777-0 ; 978-1-008-24419-7 ; 978-1-118-23976-6 |
Source: | ECONIS - Online Catalogue of the ZBW |
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