(8 resultados)

156,73€(IVA inc.)

A probability metrics approach to financial risk measures
  • Rachev, Svetlozar T.
  • 978-1-4051-8369-7
  • 2010-08-25
84,90€(IVA inc.)

Bayesian methods in finance
  • Rachev, Svetlozar T.
  • 978-0-471-92083-0
  • 2008-02-20
97,96€(IVA inc.)

Financial models with Levy processes and volatility clustering
  • Rachev, Svetlozar T.
  • 978-0-470-48235-3
  • 2011-01-19
84,90€(IVA inc.)

Probability and statistics for finance
  • Rachev, Svetlozar T.
  • 978-0-470-40093-7
  • 2010-09-15
65,29€(IVA inc.)

100,83€(IVA inc.)

Risk assessment: decisions in banking and finance
  • Bol, G.
  • 978-3-7908-2049-2
  • 2008-05-01
104,00€(IVA inc.)

The Basics of Econometrics
  • CFA, Fabozzi, Frank J.
  • 978-1-118-57320-4
  • 2014-04-23