The handbook of fixed income mathematics : analytical & statistical techniques
Year of publication: |
1997 ; 3. rev. ed
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Authors: | Fabozzi, Frank J. |
Publisher: |
Chicago, Ill. [u.a.] : Irwin |
Subject: | Finanzmathematik | Mathematical finance | Anleihe | Bond | Kapitaleinkommen | Capital income | Portfolio-Management | Portfolio selection |
Description of contents: | Table of Contents [external.dandelon.com] |
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Fixed income mathematics : analytical & statistical techniques
Fabozzi, Frank J., (2006)
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Colin, Andrew John Theodore, (2005)
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Puhle, Michael, (2008)
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Time series analysis for financial market meltdowns
Kim, Young Shin, (2010)
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Analysis of the Intraday Effects of Economic Releases on theCurrency Market
Rezania, Omid, (2010)
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Tempered infinitely divisible distributions and processes
Bianchi, Michele Leonardo, (2011)
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