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31
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40
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208
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Personal Author
Pascucci, Andrea
(4)
Carmona, René A.
(3)
Seydel, Rüdiger U.
(3)
Benth, Fred Espen
(2)
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Topic Subject
Finance
(208)
Quantitative Finance
(208)
Mathematics
(121)
Economics
(113)
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Springer Finance
(27)
Universitext
(13)
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31
Statistical Tools for Finance and Insurance
E-book (2011.)
Cizek, Pavel.
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32
Statistical Models and Methods for Financial Markets
E-book (2008.)
Lai, Tze Leung.
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33
Statistical Tools for Finance and Insurance
E-book (2005.)
Čížek, Pavel.
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34
Estimation in Conditionally Heteroscedastic Time Series Models
E-book (2005.)
Straumann, Daniel.
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35
Multifractal Financial Markets An Alternative Approach to Asset and Risk Management
E-book (2013.)
Hayek Kobeissi, Yasmine.
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36
Risk Management in Credit Portfolios Concentration Risk and Basel II
E-book (2010.)
Hibbeln, Martin.
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37
Handbook of Quantitative Finance and Risk Management
E-book (2010.)
Lee, Cheng-Few.
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38
Statistics of Financial Markets Exercises and Solutions
E-book (2013.)
Borak, Szymon.
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39
Interest Rate Derivatives Valuation, Calibration and Sensitivity Analysis
E-book (2013.)
Beyna, Ingo.
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40
A Structural Framework for the Pricing of Corporate Securities Economic and Empirical Issues
E-book (2006.)
Genser, Michael.
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Search Results Facets
Search Results List
Personal Author
Pascucci, Andrea
(4)
Carmona, René A.
(3)
Seydel, Rüdiger U.
(3)
Benth, Fred Espen
(2)
More
Topic Subject
Finance
(208)
Quantitative Finance
(208)
Mathematics
(121)
Economics
(113)
More
Series Title
Springer Finance
(27)
Universitext
(13)
EAA Lecture Notes
(4)
EAA Series
(3)
More
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