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 modelsItem type | Current location | Call number | Copy number | Status | Date due | Barcode |
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General Book | Central Library, BUET Circulation section | 332.015195/MIL/2014 (Browse shelf) | 1 | Available | 118096 |
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332.6/BOD/1996 Investments | 332/BAS/1964 Financing economic development | 332/BAS/1964 Financing economic development | 332.015195/MIL/2014 Mathematics and statistics for financial risk management | 332.09547/MSA/1967 Corporate saving in Pakistan, 1959-63 | 332.1095492/BAN/1985 Resume of the activities of the financial institutions in Bangladesh | 332.1532091724/BAU/1985 Investing in development |
Includes bibliographies
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