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|a Probability and statistics for finance /
|c Svetlozar T. Rachev [and others].
|
260 |
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|a Hoboken, N.J. :
|b John Wiley & Sons,
|c ©2010.
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300 |
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|a 1 online resource (xviii, 654 pages) :
|b illustrations
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336 |
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|a text
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|2 rdamedia
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|a online resource
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1 |
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|a The Frank J. Fabozzi series
|
504 |
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|a Includes bibliographical references and index.
|
520 |
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|a "Finance has become increasingly more quantitative, drawing on techniques in probability and statistics that many finance practitioners have not had exposure to before. In order to keep up, you need a firm understanding of this discipline. Probability and Statistics for Finance addresses this issue by showing you how to apply quantitative methods to portfolios, and in all matter of your practices, in a clear, concise manner. Informative and accessible, this guide starts off with the basics and builds to an intermediate level of mastery"--Resource description page.
|
505 |
0 |
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|a Probability and Statistics for Finance; Contents; Preface; About the Authors; Chapter 1: Introduction; Part One: Descriptive Statistics; Part Two: Basic Probability Theory; Part Three: Inductive Statistics; Part Four: Multivariate Linear Regression Analysis; Appendix A: Important Functions and Their Features; Appendix B: Fundamentals of Matrix Operations and Concepts; Appendix C: Binomial and Multinomial Coefficients; Appendix D: Application of the Log-Normal Distribution to the Pricing of Call Options; References; Index.
|
588 |
0 |
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|a Print version record.
|
590 |
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|a O'Reilly
|b O'Reilly Online Learning: Academic/Public Library Edition
|
650 |
|
0 |
|a Finance
|x Statistical methods.
|
650 |
|
0 |
|a Statistics.
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650 |
|
0 |
|a Probability measures.
|
650 |
|
0 |
|a Multivariate analysis.
|
650 |
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2 |
|a Multivariate Analysis
|
650 |
|
6 |
|a Finances
|x Méthodes statistiques.
|
650 |
|
6 |
|a Mesures de probabilités.
|
650 |
|
6 |
|a Analyse multivariée.
|
650 |
|
7 |
|a BUSINESS & ECONOMICS
|x Finance.
|2 bisacsh
|
650 |
|
7 |
|a Finance
|x Statistical methods.
|2 fast
|0 (OCoLC)fst00924417
|
650 |
|
7 |
|a Multivariate analysis.
|2 fast
|0 (OCoLC)fst01029105
|
650 |
|
7 |
|a Probability measures.
|2 fast
|0 (OCoLC)fst01077757
|
650 |
|
7 |
|a Statistics.
|2 fast
|0 (OCoLC)fst01132103
|
650 |
|
7 |
|a Deskriptive Statistik
|2 gnd
|
650 |
|
7 |
|a Wahrscheinlichkeitsrechnung
|2 gnd
|
650 |
|
7 |
|a Inferenzstatistik
|2 gnd
|
650 |
|
7 |
|a Multivariate Analyse
|2 gnd
|
650 |
|
7 |
|a Finanzmathematik
|2 gnd
|
650 |
|
7 |
|a Finanzierung.
|2 idszbz
|
650 |
|
7 |
|a Statistik.
|2 idszbz
|
650 |
|
7 |
|a Wahrscheinlichkeitsrechnung.
|2 idszbz
|
650 |
|
7 |
|a Deskriptive Statistik.
|2 idszbz
|
650 |
|
7 |
|a Inferenzstatistik.
|2 idszbz
|
650 |
|
7 |
|a Multiple Regression.
|2 idszbz
|
650 |
|
7 |
|a Kapitalanlage.
|2 idszbz
|
650 |
|
7 |
|a Portfoliomanagement.
|2 idszbz
|
650 |
|
7 |
|a Capital-Asset-Pricing-Modell.
|2 idszbz
|
655 |
|
2 |
|a Statistics
|
655 |
|
7 |
|a Statistics.
|2 fast
|0 (OCoLC)fst01423727
|
655 |
|
7 |
|a Statistics.
|2 lcgft
|
655 |
|
7 |
|a Statistiques.
|2 rvmgf
|
700 |
1 |
|
|a Rachev, S. T.
|q (Svetlozar Todorov)
|
776 |
0 |
8 |
|i Print version:
|z 9786612773556
|
830 |
|
0 |
|a Frank J. Fabozzi series.
|
856 |
4 |
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|u https://learning.oreilly.com/library/view/~/9780470400937/?ar
|z Texto completo (Requiere registro previo con correo institucional)
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