"Financial Mathematics, Volatility And Covariance Modelling" - Information and Links:

Financial Mathematics, Volatility And Covariance Modelling - Info and Reading Options

Volume 2

Book's cover
The cover of “Financial Mathematics, Volatility And Covariance Modelling” - Open Library.

"Financial Mathematics, Volatility And Covariance Modelling" is published by Routledge in July 15, 2019 - Milton, Cambridge, UK, it has 381 pages and the language of the book is English.


“Financial Mathematics, Volatility And Covariance Modelling” Metadata:

  • Title: ➤  Financial Mathematics, Volatility And Covariance Modelling
  • Authors:
  • Language: English
  • Number of Pages: 381
  • Publisher: Routledge
  • Publish Date:
  • Publish Location: Milton, Cambridge, UK

“Financial Mathematics, Volatility And Covariance Modelling” Subjects and Themes:

Edition Specifications:

  • Format: Paperback; Hardcover
  • Weight: 2 pounds
  • Dimensions: 6 x 1 x 9 inches
  • Pagination: ➤  xi, 370 Pages - 121 B/W Illustrations

Edition Identifiers:

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"Financial Mathematics, Volatility And Covariance Modelling" Description:

The Open Library:

This book provides an up-to-date series of advanced chapters on applied financial econometric techniques pertaining the various fields of commodities finance, mathematics & stochastics, international macroeconomics and financial econometrics.

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