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Statistics for Non-Statisticians
by Madsen, Birger.
Publication:
. XV, 160p. 60 illus.
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Handbook of Computational Finance
by Duan, Jin-Chuan.
Publication:
. XI, 804p. 189 illus., 7 illus. in color.
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Applied Multivariate Statistical Analysis
by Härdle, Wolfgang Karl.
Publication:
. XVII, 516 p. 424 illus., 28 illus. in color.
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Statistics of Financial Markets
by Franke, Jürgen.
Publication:
. XXII, 599 p. 135 illus.
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Introduction to Insurance Mathematics
by Olivieri, Annamaria.
Publication:
. XV, 475p. 180 illus.
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Modelling Operational Risk Using Bayesian Inference
by Shevchenko, Pavel V.
Publication:
. XVII, 302p. 25 illus.
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Numerical Solution of Stochastic Differential Equations with Jumps in Finance
by Platen, Eckhard.
Publication:
. XXVI, 856p. 169 illus.
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Copula Theory and Its Applications
by Jaworski, Piotr.
Publication:
. XVIII, 327p. 50 illus., 25 illus. in color.
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Progress in Industrial Mathematics at ECMI 2008
by Fitt, Alistair D.
Publication:
. XXI, 1083 p. 356 illus.
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Statistics of Financial Markets
by Borak, Szymon.
Publication:
. XX, 229 p.
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Non-Life Insurance Pricing with Generalized Linear Models
by Ohlsson, Esbjörn.
Publication:
. XIII, 174p.
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International Encyclopedia of Statistical Science
by Lovric, Miodrag.
Publication:
. LVIII, 1673 p. 175 illus. With Full color.. eReference.
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Data Analysis and Classification
by Palumbo, Francesco.
Publication:
. XXII, 482p. 109 illus.
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Contemporary Quantitative Finance
by Chiarella, Carl.
Publication:
. X, 440p. 35 illus.
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Mathematical Finance: Theory Review and Exercises
by Gianin, Emanuela Rosazza.
Publication:
. X, 285 p.
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Robustness in Statistical Forecasting
by Kharin, Yuriy.
Publication:
. XVI, 356 p. 47 illus.
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Algorithms from and for Nature and Life
by Lausen, Berthold.
Publication:
. XX, 547 p. 111 illus.
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Statistical Models for Data Analysis
by Giudici, Paolo.
Publication:
. XV, 419 p. 75 illus.
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Régression avec R
by Cornillon, Pierre-André.
Publication:
. XIV, 246 p.
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Méthodes de Monte-Carlo avec R
by Robert, Christian P.
Publication:
. XVI, 260 p.
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