Advanced Probability for Quantitative Finance: Distributions, Risk, and Simulation: Mastering Randomness, Tail Risk, and Simulation for Modern Financial Modeling

Advanced Probability for Quantitative Finance: Distributions, Risk, and Simulation: Mastering Randomness, Tail Risk, and Simulation for Modern Financial Modeling

Product ID: B0FPGD271Q Condition: New

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Product Description

Advanced Probability for Quantitative Finance: Distributions, Risk, and Simulation: Mastering Randomness, Tail Risk, and Simulation for Modern Financial Modeling

Technical Specifications

Country
USA
Brand
Majosta
Manufacturer
Independently published
Binding
Paperback
PartNumber
RKC2012661239
IsAdultProduct
Height
9
Length
6
Weight
1.7306287567
Width
1.34
NumberOfItems
1
Author
Bisette, Hayd Vincent