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Mathematical Finance

Core Theory, Problems and Statistical Algorithms

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196 pages

More about the book

The textbook presents a systematic and concise exploration of Stochastic Analysis and statistical finance, making it suitable for students in degree programs. Its rigorous yet accessible style ensures that readers can easily navigate the main topics and their interconnections, providing a self-sufficient resource for understanding complex concepts in the field.

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ISBN
9780415414470
Publisher
Routledge

Categories

Book variant

2007, hardcover

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