Risk and Asset Allocation
Material type:
Computer fileLanguage: English Publication details: Berlin, Heidelberg Springer Berlin Heidelberg, Imprint: Springer, 2005. ISBN: 9783540279044, 978-3-540-27904-4Subject(s): Linear and Multilinear Algebras, Matrix Theory | Finance | Mathematical statistics | Mathematics | Mathematics | Matrix theory | Quantitative Finance | Statistical Theory and MethodsDDC classification: 519, Online resources: Click here to access online
| Item type | Current library | Call number | Status | Date due | Barcode |
|---|---|---|---|---|---|
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NISER LIBRARY | 519, 23 (Browse shelf(Opens below)) | Available | E1549 |
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| 519, 23 Extreme Financial Risks | 519, 23 Mathematical Modeling for the Life Sciences | 519, 23 A Course in Derivative Securities | 519, 23 Risk and Asset Allocation | 519, 23 Tools for Computational Finance | 519, 23 Traffic and Granular Flow '03 | 519, 23 A Course in Credibility Theory and its Applications |
Mathematics and Statistics (Springer-11649)
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