Mathematics and Statistics for Financial Risk Management, Second Edition + Website(Wiley Finance)

融风险管理的数学和统计,第二版+网站

管理经济学

售   价:
707.00
发货周期:预计3-5周发货
作      者
出  版 社
出版时间
2013年12月20日
装      帧
精装
ISBN
9781118750292
复制
页      码
336
语      种
英文
版      次
2nd ed.
综合评分
暂无评分
我 要 买
- +
库存 50 本
  • 图书详情
  • 目次
  • 买家须知
  • 书评(0)
  • 权威书评(0)
图书简介
This is an excellent book to grasp the basics of financial risk management. Everything in the book is explained from scratch and the concepts are very well exemplified with real life situations. Accompanied with a website filled with excel sheets for application, the book is great for future course material. This "Second Edition" of "Mathematics and Statistics for Financial Risk Management" includes 2 new chapters.
馆藏图书馆
Harvard Library
本书暂无推荐
本书暂无推荐
看了又看
  • 上一个
  • 下一个