000 04137cam a2200865 i 4500
001 ocn841199228
003 OCoLC
005 20171106121605.0
006 m o d
007 cr |||||||||||
008 130423s2013 nju ob 001 0 eng
010 _a 2013016582
020 _a9781118656600
_q(electronic bk.)
020 _a1118656601
_q(electronic bk.)
020 _a9781118420089
_q(electronic bk.)
020 _a111842008X
_q(electronic bk.)
020 _a9781118421499
_q(electronic bk.)
020 _a1118421493
_q(electronic bk.)
020 _z9781118720530
020 _z1118720539
020 _z9781118312636
_q(clotyh)
020 _z1118312635
028 0 1 _aEB00063587
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035 _a(OCoLC)841199228
_z(OCoLC)861536677
_z(OCoLC)864912751
_z(OCoLC)868085284
_z(OCoLC)961559832
_z(OCoLC)962711369
037 _aCL0500000364
_bSafari Books Online
037 _a6F2F0610-916E-4D53-BB38-E19ACC12069A
_bOverDrive, Inc.
_nhttp://www.overdrive.com
040 _aDLC
_beng
_erda
_epn
_cDLC
_dYDX
_dN$T
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042 _apcc
049 _aMAIN
050 0 0 _aHG106
072 7 _aBUS
_x027000
_2bisacsh
082 0 0 _a332.01/5195
_223
100 1 _aFocardi, Sergio M.
245 1 0 _aMathematical methods for finance : tools for asset and risk management /
_cSergio M. Focardi, Frank J. Fabozzi, Turan G. Bali.
_h[electronic resource]
264 1 _aHoboken, New Jersey :
_bWiley,
_c[2013]
300 _a1 online resource.
336 _atext
_btxt
_2rdacontent
337 _acomputer
_bc
_2rdamedia
338 _aonline resource
_bcr
_2rdacarrier
490 1 _aThe Frank J. Fabozzi series
500 _aIncludes index.
504 _aIncludes bibliographical references and index.
520 _aThe mathematical and statistical tools needed in the rapidly growing quantitative finance field With the rapid growth in quantitative finance, practitioners must achieve a high level of proficiency in math and statistics. Mathematical Methods and Statistical Tools for Finance, part of the Frank J. Fabozzi Series, has been created with this in mind. Designed to provide the tools needed to apply finance theory to real world financial markets, this book offers a wealth of insights and guidance in practical applications. It contains applications that are broader in scope from what is covered in a.
588 0 _aPrint version record and CIP data provided by publisher.
650 0 _aFinance
_xMathematical methods.
650 0 _aAsset-liability management
_xMathematical models.
650 0 _aRisk management
_xMathematical models.
650 4 _aFinance
_xMathematical models.
650 4 _aAsset-liability management
_xMathematical models.
650 4 _aRisk management
_xMathematical models.
650 7 _aBUSINESS & ECONOMICS
_xFinance.
_2bisacsh
650 7 _aAsset-liability management
_xMathematical models.
_2fast
_0(OCoLC)fst00819065
650 7 _aFinance
_xMathematical models.
_2fast
_0(OCoLC)fst00924398
650 7 _aRisk management
_xMathematical models.
_2fast
_0(OCoLC)fst01098179
650 7 _aFinance / Mathematical models.
_2local
650 7 _aAsset-liability management / Mathematical models.
_2local
650 7 _aRisk management / Mathematical models.
_2local
655 4 _aElectronic books.
700 1 _aFabozzi, Frank J.
700 1 _aBali, Turan G.
776 0 8 _iPrint version:
_aFocardi, Sergio M.
_tMathematical methods for finance.
_dHoboken, New Jersey : John Wiley & Sons, Inc., [2013]
_z9781118312636
_w(DLC) 2013013686
830 0 _aFrank J. Fabozzi series.
856 4 0 _uhttp://onlinelibrary.wiley.com/book/10.1002/9781118656600
_zWiley Online Library
942 _2ddc
_cBK
999 _c206678
_d206678