Statistical Models And Methods For Financial Marketsde Haipeng XingMateriasFinance, statistical methodsFinance, mathematical modelsEdiciones (1)Statistical Models And Methods For Financial Markets (2010)Springer · ISBN 9781441926685Más obras de Haipeng XingStatistical Models and Methods for Financial Markets (Springer Texts in Statistics)RRisk Analytics and Management in Finance and InsuranceRisk Analytics and Management in Finance and InsuranceCChange-Point Methodology and ApplicationsChange-Point Methodology and Applications
RRisk Analytics and Management in Finance and InsuranceRisk Analytics and Management in Finance and Insurance
DData Science and Risk Analytics in Finance and InsuranceData Science and Risk Analytics in Finance and Insurance