opac header image

Semi-Markov Risk Models for Finance, Insurance and Reliability

Semi-Markov Risk Models for Finance, Insurance and Reliability - Boston, MA Springer US 2007.

Mathematics and Statistics (Springer-11649)

9780387707303, 978-0-387-70730-3


Banks and banking
Distribution (Probability theory)
Finance
Finance /Banking
Financial Economics
Mathematics
Mathematics
Numerical analysis
Numerical Analysis
Probability Theory and Stochastic Processes
Quantitative Finance

519.2, / 23

© 2022 Copyright: Customised and Maintained by Central Library NISER

Central Library, NISER Library Building, PO-Jatni, Khurda, Odisha - 752050, India | Email: libniser@niser.ac.in Phone: +91-674-2494171

You Are OPAC Visitor No
free web counter

Powered by Koha