Mathematical methods in risk theory / by Bühlmann, Hans.
Material type:
- 3540617035
Item type | Current library | Home library | Collection | Call number | Status | Barcode | |
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MATH-LiB General Stack | MATH-LiB | NFIC | 338.5015118 N96 (Browse shelf(Opens below)) | Available | 165565 |
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332.80151 P05 Empirical techniques in finance | 338 P Stochastic frontier analysis | 338.50113 P05 Business economics and finance with MATLAB, GIS and simulation models | 338.5015118 N96 Mathematical methods in risk theory / | 338.52 P04 Credit risk pricing models : | 338.5212 P02 Modeling aggregate behavior and fluctuations in economics : | 339.5 N88 Foundations of the theory of general equilibrium |
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