Mathematics and Statistics for Financial Risk Management
MILLER, Michael B.
Mathematics and Statistics for Financial Risk Management - 2nd ed. - New Jersey John Wiley & Sons 2014 - xiii,317p.ill.,25.5cm
Includes: Index and illustrations
978-1-118-75029-2
332.01 MIL
Mathematics and Statistics for Financial Risk Management - 2nd ed. - New Jersey John Wiley & Sons 2014 - xiii,317p.ill.,25.5cm
Includes: Index and illustrations
978-1-118-75029-2
332.01 MIL