Mathematics and Statistics for Financial Risk Management - Michael B. Miller

Mathematics and Statistics for Financial Risk Management

Michael B. Miller

出版社

Wiley

出版时间

2013-12-31

ISBN

9781118750292

评分

★★★★★

标签

经济

目录
Preface ix
What’s New in the Second Edition xi
Acknowledgments xiii
Chapter 1 Some Basic Math 1
Logarithms 1

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用户评论
简单明了,而且长大了才知道里面的application真的很实用。
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