The book offers, primarily, a material that contains the knowledge kernel of mathematical modeling necessary for understanding, analysis and solving economic probabilistic models. Accuracy is combined with accessibility so the reader can easily assimilate the necessary theoretical basis for modeling probabilistic phenomena and processes studied in his field of interest.
Probabilities with applications in portfolios management
Autors: Cristinca Fulga
Year of appearance: 2010
ISBN: 978-606-505-335-9
17,60 lei
In stock: NO
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