000 00846nmm a2200265Ia 4500
008 140908s9999 xx 000 0 und d
020 _a9783540279044, 978-3-540-27904-4
040 _aNISER LIBRARY
041 _aEnglish
082 _a519,
_b23
245 _aRisk and Asset Allocation
260 _aBerlin, Heidelberg
_bSpringer Berlin Heidelberg, Imprint: Springer,
_c2005.
500 _aMathematics and Statistics (Springer-11649)
650 _aLinear and Multilinear Algebras, Matrix Theory
650 _aFinance
650 _aMathematical statistics
650 _aMathematics
650 _aMathematics
650 _aMatrix theory
650 _aQuantitative Finance
650 _aStatistical Theory and Methods
700 _aMeucci, Attilio., author.
856 _uhttp://dx.doi.org/10.1007/978-3-540-27904-4
942 _cEB
999 _c13691
_d13691