Rachev Svetlozar, T; Hochstotter Markus; Fabozzi Frank, J; Focardi Sergio, M
Probability and statistics for finance
- New Jersey Wiley 2010
- xvii;654p.
Appendix A-583, D-632p; Include bibliographical references 633-634p; Index 635-654p
9780470400937 (hbk) SL01535561
160674
589, 09/11/2011, Aviva Books Company Textual
Multivariate analysis
Probability measures
Statistical finance methods
Statistics
Statistics
B280b, Q0;1 TB