Mathematics and statistics for financial risk management
(eBook)

Book Cover
Average Rating
Published
Hoboken : Wiley, 2013.
Edition
Second edition.
Physical Desc
1 online resource (333 pages)
Status

More Details

Format
eBook
Language
English
ISBN
9781118757550 (e-book)

Notes

Bibliography
Includes bibliographical references and index.

Description

Loading Description...

Also in this Series

Checking series information...

More Like This

Loading more titles like this title...

Reading Recommendations & More

Reviews from GoodReads

Loading GoodReads Reviews.

Citations

APA Citation, 7th Edition (style guide)

Miller, M. B. 1. (2013). Mathematics and statistics for financial risk management (Second edition.). Wiley.

Chicago / Turabian - Author Date Citation, 17th Edition (style guide)

Miller, Michael B. 1973-. 2013. Mathematics and Statistics for Financial Risk Management. Wiley.

Chicago / Turabian - Humanities (Notes and Bibliography) Citation, 17th Edition (style guide)

Miller, Michael B. 1973-. Mathematics and Statistics for Financial Risk Management Wiley, 2013.

MLA Citation, 9th Edition (style guide)

Miller, Michael B. 1973-. Mathematics and Statistics for Financial Risk Management Second edition., Wiley, 2013.

Note! Citations contain only title, author, edition, publisher, and year published. Citations should be used as a guideline and should be double checked for accuracy. Citation formats are based on standards as of August 2021.

Staff View

Grouped Work ID
76e4294b-9086-587d-e6ce-6ed89139bcc8-eng
Go To Grouped Work

Grouping Information

Grouped Work ID76e4294b-9086-587d-e6ce-6ed89139bcc8-eng
Full titlemathematics and statistics for financial risk management
Authormiller michael b
Grouping Categorybook
Last Update2022-06-07 21:23:19PM
Last Indexed2024-05-18 04:10:54AM

Book Cover Information

Image Sourcesyndetics
First LoadedAug 15, 2022
Last UsedApr 26, 2024

Marc Record

First DetectedAug 09, 2021 12:29:03 PM
Last File Modification TimeNov 22, 2021 08:42:33 AM

MARC Record

LEADER01929nam a2200469 i 4500
001EBC1580439
003MiAaPQ
006m    E |      
007cr cnu||||||||
008130712s2013    nju     ob    001 0 eng d
020 |a 9781118757550 (e-book)
020 |z 9781118750292
035 |a (Sirsi) EBC1580439
035 |a (Sirsi) EBC1580439
035 |a (OCoLC)852763676
035 |a (MiAaPQ)EBC1580439
035 |a (Au-PeEL)EBL1580439
035 |a (CaPaEBR)ebr10822324
035 |a (CaONFJC)MIL552042
035 |a (OCoLC)865537216
040 |a MiAaPQ|b eng|c MiAaPQ|d MiAaPQ|e rda|e pn
050 4|a HD61|b .M537 2013
0820 |a 332.01/5195|2 23
1001 |a Miller, Michael B.|q (Michael Bernard),|d 1973-
24510|a Mathematics and statistics for financial risk management |h [eBook]/|c Michael B. Miller.
250 |a Second edition.
264 1|a Hoboken :|b Wiley,|c 2013.
300 |a 1 online resource (333 pages)
336 |a text|2 rdacontent
337 |a computer|2 rdamedia
338 |a online resource|2 rdacarrier
4900 |a Wiley finance series
504 |a Includes bibliographical references and index.
588 |a Description based on online resource; title from PDF title page (ebrary, viewed January 15, 2013).
650 0|a Risk management|x Mathematical models.
650 0|a Risk management|x Statistical methods.
655 4|a Electronic books.
7972 |a ProQuest (Firm)
85640|u http://ebookcentral.proquest.com/lib/yavapai-ebooks/detail.action?docID=1580439|x Yavapai College|y Yavapai College users click here to access
85640|u http://ebookcentral.proquest.com/lib/prescottcollege-ebooks/detail.action?docID=1580439|x Prescott College|y Prescott College users click here to access
85640|u http://ebookcentral.proquest.com/lib/yln-ebooks/detail.action?docID=1580439|x Yavapai Library Network|y All other users click here to access
945 |a E-Book