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Financial Mathematics, Volatility and Covariance Modelling
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Financial Mathematics, Volatility and Covariance Modelling : Volume 2

Book Details

Format Hardback or Cased Book
ISBN-10 1138060941
ISBN-13 9781138060944
Publisher Taylor & Francis Ltd
Imprint Routledge
Country of Manufacture GB
Country of Publication GB
Publication Date Jul 17th, 2019
Print length 380 Pages
Weight 692 grams
Dimensions 16.30 x 24.10 x 2.70 cms
Ksh 37,800.00
Werezi Extended Catalogue 0 in stock

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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.

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.


Get Financial Mathematics, Volatility and Covariance Modelling by at the best price and quality guaranteed only at Werezi Africa's largest book ecommerce store. The book was published by Taylor & Francis Ltd and it has pages.

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