Rachev Svetlozar T

Probability and statistics for finance - New Jersey Wiley 2010 - xviii, 854p. cm. - Frank J Fabozzi series .

Appendices A-D, 583-632p.; References 633-634p.; Index 635-654p.

9780470400937 (hbd)

115159

2093, Educational Book Agency (India) Textual


Finance-statistical methods
Multivariate analysis
Probability measures
Statistics
Statistics

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