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This text explains in an intuitive yet rigorous way the mathematical and statistical applications relevant to modern financial instruments and risk management techniques. It progresses at a pace that is comfortable for those with less mathematical expertise yet reaches a level of analysis that will reward even the most experienced. The strong applied emphasis makes this book ideal for anyone who is seriously interested in mastering the quantitative techniques underpinning modern financial decision making

Published Date : 06/2015
Publisher : London : Thomson
Page : x,395p Pages
Barcode Call No. Volume Status Due Date Total Queue
1010081170 CF00108

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