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91
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100
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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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Finance
(208)
Quantitative Finance
(208)
Mathematics
(121)
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Springer Finance
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91
Financial Risk Management with Bayesian Estimation of GARCH Models Theory and Applications
E-book (2008.)
Ardia, David.
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92
Introduction to Quantitative Methods for Financial Markets
E-book (2013.)
Albrecher, Hansjoerg.
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93
An Introduction to Socio-Finance
E-book (2013.)
Vitting Andersen, Jørgen.
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94
Binomial Models in Finance
E-book (2006.)
Hoek, John.
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95
Malliavin Calculus and Stochastic Analysis A Festschrift in Honor of David Nualart
E-book (2013.)
Viens, Frederi.
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96
Markov Decision Processes with Applications to Finance
E-book (2011.)
Bäuerle, Nicole.
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97
Asset Prices, Booms and Recessions Financial Economics from a Dynamic Perspective
E-book (2011.)
Semmler, Willi.
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98
Stochastic Simulation and Monte Carlo Methods Mathematical Foundations of Stochastic Simulation
E-book (2013.)
Graham, Carl.
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99
Financial Modeling A Backward Stochastic Differential Equations Perspective
E-book (2013.)
Crépey, Stéphane.
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100
Statistical Analysis of Financial Data in R
E-book (2014.)
Carmona, René.
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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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