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Measure, Probability, and Mathematical Finance

- A Problem-Oriented Approach

Om Measure, Probability, and Mathematical Finance

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.

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  • Språk:
  • Engelska
  • ISBN:
  • 9781118831960
  • Format:
  • Inbunden
  • Sidor:
  • 752
  • Utgiven:
  • 13. maj 2014
  • Mått:
  • 161x243x43 mm.
  • Vikt:
  • 1111 g.
Leveranstid: 2-4 veckor
Förväntad leverans: 28. januari 2025

Beskrivning av Measure, Probability, and Mathematical Finance

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.

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