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00834nam a2200229 a 4500 |
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1742063 |
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20171111234452.0 |
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110923s2012 njua sb 001 0 eng d |
020 |
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|z 9781118170625 (hardback)
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040 |
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|a CaPaEBR
|z 9781118227770 (e-book)
|
050 |
1 |
4 |
|a HD61
|b .M537 2012eb
|
100 |
1 |
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|a Miller, Michael B.
|
245 |
1 |
0 |
|a Mathematics and statistics for financial risk management
|c Michael B. Miller.
|
260 |
|
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|a Hoboken, N.J. :
|b Wiley,
|c 2012.
|
300 |
|
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|a xi, 281 p. :
|b ill.
|
490 |
1 |
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|a Wiley finance
|
504 |
|
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|a Includes bibliographical references and index.
|
650 |
|
0 |
|a Risk management
|x Mathematical models.
|
650 |
|
0 |
|a Risk management
|x Statistical methods.
|
710 |
2 |
|
|a ebrary, Inc.
|
856 |
4 |
0 |
|u http://site.ebrary.com/lib/ucy/Doc?id=10529315
|
952 |
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|a CY-NiOUC
|b 5a0451336c5ad14ac1ec3d6c
|c 998a
|d 945l
|e -
|t 1
|x m
|z Books
|