Measuring and Managing Credit Risk (PROFESSIONAL FINANCE & INVESTM)
by Arnaud De Servigny,Olivier Renault
ISBN 13: 9780071417556
Format: Illustrated (480 pages) Publisher: McGraw-Hill Education Published: 01 May 2004
Save for later
The Concepts and Practice of Mathematical Finance: 8 (Mathematics, Finance and Risk, Series Number 8)
by Mark S. Joshi
ISBN 13: 9780521514088
Format: Illustrated (558 pages) Publisher: Cambridge University Press Published: 30 Oct 2008 Other Format: Hardcover
Fractals and Scaling in Finance: Discontinuity, Concentration, Risk. Selecta Volume E
by Benoit B. Mandelbrot,R.E. Gomory,P.H. Cootner,E.F. Fama,W.S. Morris,H.M. Taylor
ISBN 13: 9780387983639
Format: Illustrated (561 pages) Publisher: Springer Published: 01 Nov 1997
Complex and Chaotic Nonlinear Dynamics: Advances in Economics and Finance, Mathematics and Statistics
by Thierry Vialar,Alain Goergen
ISBN 13: 9783540859772
Format: Hardcover (780 pages) Publisher: Springer Published: 11 May 2009
The Theory of Critical Phenomena: An Introduction to the Renormalization Group (Oxford Science Publications)
by N/A
ISBN 13: 9780198513933
Format: Paperback (480 pages) Publisher: Clarendon Press Published: 11 Jun 1992
Simulation-based Econometric Methods (OUP/CORE Lecture)
ISBN 13: 9780198774754
Format: Hardcover (192 pages) Publisher: OUP Oxford Published: 09 Jan 1997
Workbook on Cointegration (Advanced Texts in Econometrics)
ISBN 13: 9780198776079
Format: Paperback (176 pages) Publisher: OUP Oxford Published: 17 Sep 1998
Bayesian Inference in Dynamic Econometric Models (Advanced Texts in Econometrics)
ISBN 13: 9780198773139
Format: Paperback (366 pages) Publisher: OUP Oxford Published: 06 Jan 2000
Likelihood-Based Inference in Cointegrated Vector Autoregressive Models (Advanced Texts in Econometrics)
ISBN 13: 9780198774501
Format: Paperback (280 pages) Publisher: OUP Oxford Published: 28 Dec 1995
An Introduction to Modern Bayesian Econometrics
ISBN 13: 9781405117203
Format: Paperback (416 pages) Publisher: Wiley-Blackwell Published: 20 Apr 2004
Foundations of Non-Cooperative Game Theory
ISBN 13: 9780199247868
Format: Paperback (370 pages) Publisher: OUP Oxford Published: 10 Jan 2002
The Mathematics of Money Management: Risk Analysis Techniques for Traders (Wiley Finance)
ISBN 13: 9780471547389
Format: Hardcover (400 pages) Publisher: John Wiley & Sons Published: 04 Jun 1992