Mathematics and Statistics for Financial Risk Management
By Michael B. Miller
"Mathematics and Statistics for Financial Risk Management" was published by Wiley & Sons, Incorporated, John in 2013, it has 336 pages and the language of the book is English.
“Mathematics and Statistics for Financial Risk Management” Metadata:
- Title: ➤ Mathematics and Statistics for Financial Risk Management
- Author: Michael B. Miller
- Language: English
- Number of Pages: 336
- Publisher: ➤ Wiley & Sons, Incorporated, John
- Publish Date: 2013
“Mathematics and Statistics for Financial Risk Management” Subjects and Themes:
- Subjects: ➤ Risk management - Finance, mathematical models - Mathematical models - Statistical methods - BUSINESS & ECONOMICS / Finance - BUSINESS et ECONOMICS - Finance - Bisacsh - BUSINESS & ECONOMICS
Edition Identifiers:
- The Open Library ID: OL29165634M - OL17509593W
- ISBN-13: 9781118757550
- All ISBNs: 9781118757550
AI-generated Review of “Mathematics and Statistics for Financial Risk Management”:
Read “Mathematics and Statistics for Financial Risk Management”:
Read “Mathematics and Statistics for Financial Risk Management” by choosing from the options below.
Search for “Mathematics and Statistics for Financial Risk Management” downloads:
Visit our Downloads Search page to see if downloads are available.
Find “Mathematics and Statistics for Financial Risk Management” in Libraries Near You:
Read or borrow “Mathematics and Statistics for Financial Risk Management” from your local library.
- The WorldCat Libraries Catalog: Find a copy of “Mathematics and Statistics for Financial Risk Management” at a library near you.
Buy “Mathematics and Statistics for Financial Risk Management” online:
Shop for “Mathematics and Statistics for Financial Risk Management” on popular online marketplaces.