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Mathematics

Bachelier 8th World Congress

When

2 June – 6 June 2014

Where

Brussels, Belgium

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Found 46 Results
Page 1 of 3

This series contains other subjects. View the titles


  • Computation and Modelling in Insurance and Finance

    Bølviken, Erik
    Published: April 2014

    Hardback

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  • Handbook of Financial Data and Risk Information I

    Principles and Context

    Brose, Margarita S.
    Flood, Mark D.
    Krishna, Dilip
    (+ 1 other)
    Published: January 2014
    Volume 1

    Hardback

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  • Handbook of Financial Data and Risk Information II

    Software and Data

    Brose, Margarita S.
    Flood, Mark D.
    Krishna, Dilip
    (+ 1 other)
    Published: January 2014
    Volume 2

    Hardback

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  • Portfolio Management under Stress

    A Bayesian-Net Approach to Coherent Asset Allocation

    Rebonato, Riccardo
    Denev, Alexander
    Published: January 2014

    Hardback

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  • Probability for Finance

    Kopp, Ekkehard
    Malczak, Jan
    Zastawniak, Tomasz
    Published: November 2013

    Paperback

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  • Introduction to Mathematical Portfolio Theory

    Joshi, Mark S.
    Paterson, Jane M.
    Published: July 2013

    Hardback

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  • Handbook on Systemic Risk

    Fouque, Jean-Pierre
    Langsam, Joseph A.
    Published: May 2013

    Hardback

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  • Stochastic Calculus for Finance

    Capiński, Marek
    Kopp, Ekkehard
    Traple, Janusz
    Published: August 2012

    Paperback

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  • Numerical Methods in Finance with C++

    Capiński, Maciej J.
    Zastawniak, Tomasz
    Published: August 2012

    Paperback

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  • Exercises in Probability

    A Guided Tour from Measure Theory to Random Processes, via Conditioning

    Chaumont, Loïc
    Yor, Marc
    Published: July 2012
    2nd Edition

    Paperback

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  • Risk Modelling in General Insurance

    From Principles to Practice

    Gray, Roger J.
    Pitts, Susan M.
    Published: June 2012

    Hardback

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  • Discrete Models of Financial Markets

    Capiński, Marek
    Kopp, Ekkehard
    Published: February 2012

    Paperback

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  • The Capital Asset Pricing Model in the 21st Century

    Analytical, Empirical, and Behavioral Perspectives

    Levy, Haim
    Published: October 2011

    Paperback

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  • Stochastic Processes

    Bass, Richard F.
    Published: October 2011

    Hardback

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  • Multiscale Stochastic Volatility for Equity, Interest Rate, and Credit Derivatives

    Fouque, Jean-Pierre
    Papanicolaou, George
    Sircar, Ronnie
    (+ 1 other)
    Published: September 2011

    Hardback

    View product
  • Financial Assets, Debt and Liquidity Crises

    A Keynesian Approach

    Charpe, Matthieu
    Chiarella, Carl
    Flaschel, Peter
    (+ 1 other)
    Published: July 2011

    Hardback

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  • Finitary Probabilistic Methods in Econophysics

    Garibaldi, Ubaldo
    Scalas, Enrico
    Published: August 2010

    Hardback

    View product
  • Data Analysis and Graphics Using R

    An Example-Based Approach

    Maindonald, John
    Braun, W. John
    Published: May 2010
    3rd Edition

    Hardback

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  • Real Estate Modelling and Forecasting

    Brooks, Chris
    Tsolacos, Sotiris
    Published: April 2010

    Hardback

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  • Brownian Motion

    Mörters, Peter
    Peres, Yuval
    Published: April 2010

    Hardback

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Found 46 Results
Page 1 of 3

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