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Financial Mathematics, Volatility and Covariance Modelling

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Autorius Bookshop
Leidimo metai 2019 m.
Puslapių skč. 380 psl.
Viršelis Kietas viršelis
ISBN 9781138060944
Kategorijos Rahandus

Financial Mathematics, Volatility and Covariance Modelling

Discover the essential insights in Financial Mathematics, Volatility and Covariance Modelling by Taylor & Francis Ltd. Published in 2019, this comprehensive hardback edition spans 380 pages, making it a vital resource for anyone interested in the intricate world of financial mathematics. This book serves as a key repository of the current state of knowledge, delving into the latest debates and recent literature surrounding volatility and covariance modelling. Whether you are a student, researcher, or finance professional, this volume will enhance your understanding of critical financial concepts and methodologies. Equip yourself with the tools and knowledge necessary to navigate the complexities of financial markets with this authoritative guide.

Book cover of: Financial Mathematics, Volatility and Covariance Modelling

Financial Mathematics, Volatility and...

Tavaline hind €211,00
Müügihind €211,00 Tavaline hind €256,08