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Mathematical Finance: Core Theory, Problems and Statistical Algorithms
Mathematical Finance: Core Theory, Problems and Statistical Algorithms
Date: 21 April 2011, 03:26

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Publisher: | ISBN: | edition 2007 | PDF | 208 pages | 7,5 mb
Written in a rigorous yet logical and easy to use style, spanning a range of disciplines, including business, mathematics, finance and economics, this comprehensive textbook offers a systematic, self-sufficient yet concise presentation of the main topics and related parts of stochastic analysis and statistical finance that are covered in the majority of university programmes.

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