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Pages: 534, Paperback, Independently published
Independently Published
Financial Statistics with Python: Statistical Methods, Regression, and Risk Analysis for Finance
HiTeX Press
Fixed Income Quant: Strategies for Modeling Bonds and Interest Rates
Springer
Financial Mathematics, Derivatives and Structured Products
Advanced Financial Mathematics for Actuaries: Derivatives, Asset Liability Management, and Risk Neutral Valuation: 4
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