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Mathematics and statistics for financial risk management

by Miller, Michael B.
Series: Wiley finance series.Publisher: New Jersey John Wiley & Sons 2014Edition: 2nd ed.Description: xiii, 317 p.ISBN: 9781118750292.Subject(s): Risk management - Mathematical models
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Item type Current location Call number Copy number Status Date due Barcode
General Book Central Library, BUET
Circulation section
332.015195/MIL/2014 (Browse shelf) 1 Available 118096

Includes bibliographies

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