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Handbook of Quantitative Finance and Risk Management

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Více o knize

The Handbook of Quantitative Finance and Risk Management is a comprehensive two-volume resource that integrates theory, methodology, and practical applications in finance. Covering topics from portfolio theory to option pricing, it features contributions from global experts and includes case examples, equations, and extensive references, making it essential for various stakeholders in the field.

Varianta knihy

2010, pevná

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