Mathematical asset management /
by Höglund, Thomas.
Material type: BookPublisher: Hoboken, N.J. : Wiley-Interscience, c2008Description: x, 222 p. : ill. ; 24 cm.ISBN: 0470232870 (cloth); 9780470232873; 9780470232873 (cloth).Subject(s): Derivative securities -- Mathematical models | Risk management -- Mathematical models | Investment analysis -- Mathematical modelsOnline resources: Publisher description | Table of contents only | Contributor biographical informationItem type | Current location | Collection | Call number | Status | Date due | Barcode |
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Books | Dhaka University Science Library General Stacks | Non Fiction | 332.6015195 HOM (Browse shelf) | Available | 461538 |
Browsing Dhaka University Science Library Shelves , Shelving location: General Stacks , Collection code: Non Fiction Close shelf browser
332.6015118 MAT Mathematical finance / | 332.6015118 MAT Mathematical finance / | 332.6015118 MAT Mathematical finance / | 332.6015195 HOM Mathematical asset management / | 332.632 INT An introduction to the mathematics of financial derivatives / | 332.632 INT An introduction to the mathematics of financial derivatives / | 332.632283 BAQ Quantum finance : |
Includes bibliographical references (p. 217-218) and index.
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