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Copulae in Mathematical and Quantitative Finance
by Jaworski, Piotr.
Publication:
. XII, 294 p. 38 illus., 24 illus. in color.
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Statistics of Financial Markets
by Borak, Szymon.
Publication:
. XXIX, 246 p. 271 illus., 241 illus. in color.
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Statistical Tools for Finance and Insurance
by Cizek, Pavel.
Publication:
. IV, 420p. 8 illus. in color.
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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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Copula Theory and Its Applications
by Jaworski, Piotr.
Publication:
. XVIII, 327p. 50 illus., 25 illus. in color.
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Statistics of Financial Markets
by Borak, Szymon.
Publication:
. XX, 229 p.
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