The mathematics of financial models : Solving real-world problems with quanitative methods
The Mathematics of Financial Models is an in-depth guide that helps readers break through common client financial problems and emerge with clearer strategies for solving issues in the future.
Сохранить в:
| Главный автор: | Ravindran, Kannoo |
|---|---|
| Формат: | |
| Язык: | Undetermined |
| Опубликовано: |
New Jersey
Wiley
2014
|
| Предметы: | |
| Метки: |
Добавить метку
Нет меток, Требуется 1-ая метка записи!
|
| Thư viện lưu trữ: | Trung tâm Học liệu Trường Đại học Cần Thơ |
|---|
Схожие документы
-
Financial modeling
по: Benninga, Simon.
Опубликовано: (2008) -
Encyclopedia of financial models
Опубликовано: (2013) -
The mathematics of financial models : Solving real-world problems with quantitative methods
по: Ravindran, Kannoo
Опубликовано: (2014) -
Martingale methods in financial modelling
по: Musiela, Marek
Опубликовано: (2007) -
Nonlinear time series models in empirical finance
по: Franses, Philip Hans
Опубликовано: (2000)