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The Econometric Modelling of Financial Time Series The Econometric Modelling of Financial Time Series by Terence C. Mills,Raphael N. Markellos

The Econometric Modelling of Financial Time Series

by Terence C. Mills,Raphael N. Markellos


ISBN 13: 9780521710091

Format: Paperback (470 pages)
Publisher: Cambridge University Press
Published: 20 Mar 2008

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Equity Valuation: Models from Leading Investment Banks: 412 (The Wiley Finance Series) Equity Valuation: Models from Leading Investment Banks: 412 (The Wiley Finance Series) by Viebig,Poddig,Varmaz

Equity Valuation: Models from Leading Investment Banks: 412 (The Wiley Finance Series)

by Viebig,Poddig,Varmaz


ISBN 13: 9780470031490

Format: Illustrated (440 pages)
Publisher: Wiley
Published: 14 Apr 2008

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Investment Mathematics: 268 (The Wiley Finance Series) Investment Mathematics: 268 (The Wiley Finance Series) by Andrew T. Adams

Investment Mathematics: 268 (The Wiley Finance Series)

by Andrew T. Adams


ISBN 13: 9780471998822

Format: Illustrated (436 pages)
Publisher: Wiley
Published: 26 Feb 2003

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Interest Rate Modelling: 77 (Wiley Series in Financial Engineering) Interest Rate Modelling: 77 (Wiley Series in Financial Engineering) by Jessica James,Nick Webber

Interest Rate Modelling: 77 (Wiley Series in Financial Engineering)

by Jessica James,Nick Webber


ISBN 13: 9780471975236

Format: Illustrated (676 pages)
Publisher: Wiley
Published: 05 Apr 2000

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The Mathematics of Financial Derivatives: A Student Introduction The Mathematics of Financial Derivatives: A Student Introduction by Paul Wilmott

The Mathematics of Financial Derivatives: A Student Introduction

by Paul Wilmott


ISBN 13: 9780521497893

Format: Paperback (334 pages)
Publisher: Cambridge University Press
Published: 09 Nov 1995

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The Cointegrated VAR Model: Methodology and Applications (Advanced Texts in Econometrics) The Cointegrated VAR Model: Methodology and Applications (Advanced Texts in Econometrics) by Katarina Juselius

The Cointegrated VAR Model: Methodology and Applications (Advanced Texts in Econometrics)

by Katarina Juselius


ISBN 13: 9780199285679

Format: Illustrated (478 pages)
Publisher: Oxford University Press, USA
Published: 07 Dec 2006

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Quantile Regression: 38 (Econometric Society Monographs, Series Number 38) Quantile Regression: 38 (Econometric Society Monographs, Series Number 38) by Roger Koenker

Quantile Regression: 38 (Econometric Society Monographs, Series Number 38)

by Roger Koenker


ISBN 13: 9780521608275

Format: Illustrated (366 pages)
Publisher: Cambridge University Press
Published: 05 Aug 2010

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Financial Products: An Introduction using Mathematics and Excel Financial Products: An Introduction using Mathematics and Excel by Bill Dalton

Financial Products: An Introduction using Mathematics and Excel

by Bill Dalton


ISBN 13: 9780521682220

Format: Paperback (406 pages)
Publisher: Cambridge University Press
Published: 02 Oct 2008

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Stochastic Calculus for Finance I: The Binomial Asset Pricing Model (Springer Finance) Stochastic Calculus for Finance I: The Binomial Asset Pricing Model (Springer Finance) by Steven Shreve

Stochastic Calculus for Finance I: The Binomial Asset Pricing Model (Springer Finance)

by Steven Shreve


ISBN 13: 9780387249681

Format: Illustrated (202 pages)
Publisher: Springer
Published: 28 Jun 2005

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Beyond Walls: Re-inventing the Canada-United States Borderlands (Border Regions) Beyond Walls: Re-inventing the Canada-United States Borderlands (Border Regions) by Victor Konrad, Dr Heather Nicol

Beyond Walls: Re-inventing the Canada-United States Borderlands (Border Regions)

by Victor Konrad, Dr Heather Nicol


ISBN 13: 9780754672029

Format: Hardcover (360 pages)
Publisher: Ashgate Publishing Limited
Published: 28 Nov 2008

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Portfolio Optimization (Chapman & Hall/CRC Finance Series) Portfolio Optimization (Chapman & Hall/CRC Finance Series) by N/A

Portfolio Optimization (Chapman & Hall/CRC Finance Series)

by N/A


ISBN 13: 9781420085846

Format: Hardcover (236 pages)
Publisher: Chapman and Hall/CRC
Published: 09 Mar 2010

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