Probability theory, mathematical statistics, financial mathematics

Probability theory, mathematical statistics, financial mathematics

Autors: Argentina Filip, Silvia Spataru, Iulian Mircea

Year of appearance: 2002

ISBN: 973-594-205-4

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The book is an invaluable tool for systematic, rigorous and efficient learning of basic notions of probability theory, mathematical statistics and financial mathematics.
As most phenomena of nature and society are random, probability theory and mathematical statistics are applied in various fields of science and technology, including social economics. This collection of problems is structured in three chapters. Each chapter includes examples and solved problems that follow a better understanding and assimilation of theory. The work is useful to students from The Bucharest Academy of Economic Studies and those of economic faculties and can also be used by any graduate with interests in this area.
 

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