Introduction to Statistical Methods for Financial Models - Info and Reading Options
By Thomas A. Severini
"Introduction to Statistical Methods for Financial Models" was published by Taylor & Francis Group in 2017, it has 370 pages and the language of the book is English.
“Introduction to Statistical Methods for Financial Models” Metadata:
- Title: ➤ Introduction to Statistical Methods for Financial Models
- Author: Thomas A. Severini
- Language: English
- Number of Pages: 370
- Publisher: Taylor & Francis Group
- Publish Date: 2017
“Introduction to Statistical Methods for Financial Models” Subjects and Themes:
- Subjects: ➤ Finance, mathematical models - Finance, statistical methods - Finance - Statistical methods - Mathematical models - Finances - Méthodes statistiques - Modèles mathématiques - MATHEMATICS - General - Probability & Statistics
Edition Identifiers:
- The Open Library ID: OL33647619M - OL25215125W
- Online Computer Library Center (OCLC) ID: 1032661238
- ISBN-13: 9781315270388
- All ISBNs: 9781315270388
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