Miller, Michael B.
Mathematics and statistics for financial risk management - 2nd ed. - New Jersey John Wiley & Sons 2014 - xiii, 317 p. - Wiley finance series .
Includes bibliographies
9781118750292
Risk management - Mathematical models
332.015195 / MIL/2014
Mathematics and statistics for financial risk management - 2nd ed. - New Jersey John Wiley & Sons 2014 - xiii, 317 p. - Wiley finance series .
Includes bibliographies
9781118750292
Risk management - Mathematical models
332.015195 / MIL/2014