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Mathematical Finance

Core Theory, Problems and Statistical Algorithms

Parametre

Počet strán
208 stránok
Čas čítania
8 hodin

Viac o knihe

The textbook provides a thorough yet accessible exploration of Stochastic Analysis and statistical finance, making it suitable for degree courses. Its rigorous style is complemented by a systematic and concise presentation of key topics, ensuring that readers can navigate complex concepts effectively. This resource is designed to be self-sufficient, catering to both students and professionals seeking a solid understanding of the subject matter.

Vydanie

Nákup knihy

Mathematical Finance, Nikolai Dokuchaev

Jazyk
Rok vydania
2007
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