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Measure, Probability, and Mathematical Finance: A Problem-Oriented Approach Guojun Gan
Measure, Probability, and Mathematical Finance: A Problem-Oriented Approach
Guojun Gan
Measure, Probability, and Mathematical Finance: A Problem-Oriented Approach features an introduction to the mathematical theory underlying the financial models that were developed and employed on Wall Street.
744 pages
| Mediji | Grāmatas Hardcover Book (Grāmata ar cieto muguriņu un vāku) |
| Izlaists | 2014. gada 7. aprīlis |
| ISBN13 | 9781118831960 |
| Izdevēji | John Wiley & Sons Inc |
| Lapas | 752 |
| Izmēri | 161 × 243 × 43 mm · 1,11 kg |
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