Recommended
Service
|
About Us
|
Register
|
Login
One Search
|
Home
Book
Detail
Mathematical finance : core theory, problems, and statistical algorithms / Nikolai Dokuchaev
Author :
Dokuchaev, Nikolai
Rating :
Publisher :
London
Publish Year :
Category :
Investment Knowledge - Tools - Portfolio Management
Page :
196 p
Barcode
Call No.
Volume
Status
Due Date
Total Queue
1010071640
IK00095
Available
0
Please Login
Related Book
The insured portfolio : your gateway to stress fre...
Global asset allocation : new methods and applicat...
Trade like an O'Neil disciple: how we made 18,000%...
Robust portfolio optimization and management / Fra...
The investing oasis : contrarian treasures in the...
High net worth investing : how to grow your wealth...
The flexible investing playbook : asset allocation...
Consepts of portfolio theory and investment analys...
Modern Asset Allocation for Wealth Management / ...
7twelve : a diversified investment portfolio with...
Mastering stocks and bonds : understanding how ass...
Dividends still don’t lie : the truth about invest...
Smarter investing : simpler decisions for better r...
Building winning algorithmic trading systems : a t...
Smart investors keep it simple :creating passive i...
Strategic asset allocation : portfolio choice for ...
สร้างพอร์ตการเงิน ด้วยตัวคุณเอง : Port manager / ด...
The Motley Fool investment guide : how the fool be...
Get rich with dividends : a proven system for earn...
Microsoft Excel for stock and option traders : bui...
Equity valuation : models from leading investment ...
The standard and poor guide to building wealth wit...
Beyond smart beta : index investment strategies fo...
The ultimate dividend playbook : income, insight, ...
Financial modeling using C++ (+ CD) / Chandan Seng...
The Stock Exchange of Thailand and the companies in SET Group uses cookies to provide you with a better browsing experience.
Click here
for detailed information on the use of cookies on this site, and how you can manage them.
Accept
×
×
Related Book