Statistical methods in finance
Series: Handbook of statistics; v. 14Publication details: Amsterdam Elsevier 1996Description: xvi, 733 pISBN:- 0444819649
- 332.015195
Item type | Current library | Call number | Status | Date due | Barcode | Item holds | |
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Ahmedabad | 332.015195 S8 (Browse shelf(Opens below)) | Available | 168819 |
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332.015195 L4S8 Statistics for finance | 332.015195 S8 Statistical methods in finance | 332.015195 S8F4 Financial statistics and mathematical finance: methods, models and applications | 332.015195 W2F4 Financial econometrics: methods and models | 332.01519542 N3P7 Probabilistic methods for financial and marketing informatics |
Includes bibliographical references and index.
This volume comprises a reference work for teaching at graduate level and research in empirical finance. It covers a wide range of statistical and probabilistic methods applied to a variety of financial methods. (www.alibris.com)
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