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Mathematical and Statistical Methods for Actuarial Sciences and Finance
by Perna, Cira.
Publication:
. XII, 412 p.
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Mathematical and Statistical Methods for Actuarial Sciences and Finance
by Corazza, Marco.
Publication:
. XV, 314 p.
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Life Insurance Risk Management Essentials
by Koller, Michael.
Publication:
. XVIII, 360p. 70 illus., 60 illus. in color.
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Advanced Mathematical Methods for Finance
by Di Nunno, Giulia.
Publication:
. VIII, 536p. 20 illus.
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Functionals of Multidimensional Diffusions with Applications to Finance
by Baldeaux, Jan.
Publication:
. XXIII, 425 p. 38 illus., 27 illus. in color.
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Risk and Portfolio Analysis
by Hult, Henrik.
Publication:
. XIII, 335 p. 57 illus.
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Neutral and Indifference Portfolio Pricing, Hedging and Investing
by Stojanovic, Srdjan.
Publication:
. XIV, 263p. 6 illus.
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Introduction to Modern Time Series Analysis
by Kirchgässner, Gebhard.
Publication:
. XII, 319 p. 42 illus.
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Optimal Strategies in Sports Economics and Management
by Butenko, Sergiy.
Publication:
. XVI, 215p. 67 illus.
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Portfolio Analytics
by Marty, Wolfgang.
Publication:
. XII, 200 p. 53 illus., 14 illus. in color.
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Paris-Princeton Lectures on Mathematical Finance 2013
by Benth, Fred Espen.
Publication:
. IX, 316 p. 40 illus., 34 illus. in color.
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