Mathematics and statistics for financial risk management.
Miller Michael B
Mathematics and statistics for financial risk management. - Hoboken John Wiley & Sons 2012 - x;291p cm.
5826.7205000000004
119170
88, 28/08/2013, Classic Book Service Textual
Financial Studies
X81:8, Q2
Mathematics and statistics for financial risk management. - Hoboken John Wiley & Sons 2012 - x;291p cm.
5826.7205000000004
119170
88, 28/08/2013, Classic Book Service Textual
Financial Studies
X81:8, Q2
