Financial mathematics, volatility and covariance modelling: volume 2
Éditeur :
Taylor & Francis Ltd
ISBN :
9780367785581
Date de publication :
31 mars 2021
Dimensions :
23,4 x 15,6 cm
Poids :
560 g
Langue :
Anglais
Pays d'origine :
Grande Bretagne
This book provides a key repository on the current state of knowledge, the latest debates and recent literature on financial mathematics, volatility and covariance modelling.