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Mathematical Finance: Theory Review and Exercises
by Gianin, Emanuela Rosazza.
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. X, 285 p.
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Robustness in Statistical Forecasting
by Kharin, Yuriy.
Publication:
. XVI, 356 p. 47 illus.
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Mathematics for Econometrics
by Dhrymes, Phoebus J.
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. XVII, 419 p. 1 illus.
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An Introduction to Heavy-Tailed and Subexponential Distributions
by Foss, Sergey.
Publication:
. XI, 157 p. 2 illus.
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Advances in Superprocesses and Nonlinear PDEs
by Englander, Janos.
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. IX, 124 p. 2 illus.
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Mathematical Statistics for Economics and Business
by Mittelhammer, Ron C.
Publication:
. XXIX, 755 p. 93 illus.
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Risk and Portfolio Analysis
by Hult, Henrik.
Publication:
. XIII, 335 p. 57 illus.
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Linear Algebra and Linear Models
by Bapat, R.B.
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. VIII, 167 p. 1 illus.
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An Introduction to Heavy-Tailed and Subexponential Distributions
by Foss, Sergey.
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. IX, 123p. 1 illus.
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Decision Systems and Nonstochastic Randomness
by Ivanenko, V. I.
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. XII, 272p. 6 illus.
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Quantile-Based Reliability Analysis
by Nair, N. Unnikrishnan.
Publication:
. XX, 397 p. 20 illus., 3 illus. in color.
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Probability and Statistical Models
by Gupta, Arjun K.
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. XII, 267p.
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Parametric Statistical Change Point Analysis
by Chen, Jie.
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. XIII, 273p. 24 illus., 23 illus. in color.
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Theory of Stochastic Processes
by Gusak, Dmytro.
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. XII, 376p. 8 illus.
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Introduction to Modern Time Series Analysis
by Kirchgässner, Gebhard.
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. XII, 319 p. 42 illus.
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Insurance Economics
by Zweifel, Peter.
Publication:
. XVI, 451p. 75 illus.
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Portfolio Analytics
by Marty, Wolfgang.
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. XII, 200 p. 53 illus., 14 illus. in color.
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Multisector Growth Models
by Roe, Terry L.
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An introduction to actuarial studies /
by Atkinson, M. E.
Publication:
Cheltenham : Edward Elgar, 2011
. x, 231 p. :
24 cm.
Date:2011
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Actuarial models : , the mathematics of insurance /
by Rotar, V. I.
Publication:
Boca Raton, FL : CRC press, 2015
. xix, 634 p :
26 cm.
Date:2015
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