लोड हो रहा है...
Modelling techniques for financial markets and bank management
| अन्य लेखक: | Bertocchi, M...[et al.] (संपादक) |
|---|---|
| स्वरूप: | Printed Book |
| भाषा: | English |
| प्रकाशित: |
Heidelberg
Physica-verlag
1996
|
| विषय: |
समान संसाधन
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Financial risk modeling and portfolio optimization with R
द्वारा: Pfaff, Bernhard
प्रकाशित: (2013) -
Mathematics of financial modeling and investment management /
द्वारा: Focardi, Sergio M .
प्रकाशित: (2004) -
Securities markets and instruments
प्रकाशित: (2004) -
Financial risk modelling and portfolio optimization with R
द्वारा: Pfaff, Bernhard
प्रकाशित: (2013) -
Capital market management
द्वारा: Avadhani, V A
प्रकाशित: (2012)