Economics, Mathematical .
概要
作品: | 145 作品在 0 項出版品 0 種語言 |
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書目資訊
Risk Management for Pension Funds = A Continuous Time Approach with Applications in R /
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From Shortest Paths to Reinforcement Learning = A MATLAB-Based Tutorial on Dynamic Programming /
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From Analysis to Visualization = A Celebration of the Life and Legacy of Jonathan M. Borwein, Callaghan, Australia, September 2017 /
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Quantile Regression for Cross-Sectional and Time Series Data = Applications in Energy Markets Using R /
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An Introduction to Continuous-Time Stochastic Processes = Theory, Models, and Applications to Finance, Biology, and Medicine /
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Statistik-Praktikum mit Excel = Grundlegende quantitative Analysen realistischer Wirtschaftsdaten mit Excel 2013 /
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Actuarial Sciences and Quantitative Finance = ICASQF, Bogotá, Colombia, June 2014 /
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A Time Series Approach to Option Pricing = Models, Methods and Empirical Performances /
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Übungsbuch zur Finanzmathematik = Aufgaben, Testklausuren und ausführliche Lösungen /
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Applied Asset and Risk Management = A Guide to Modern Portfolio Management and Behavior-Driven Markets /
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Fixed-Income Portfolio Analytics = A Practical Guide to Implementing, Monitoring and Understanding Fixed-Income Portfolios /
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Set Optimization and Applications - The State of the Art = From Set Relations to Set-Valued Risk Measures /
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Terme, Gleichungen, Ungleichungen = Rechenregeln begründen, Fehlerfallen vermeiden /
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An Introduction to Mathematical Finance with Applications = Understanding and Building Financial Intuition /
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Anomalies in Net Present Value, Returns and Polynomials, and Regret Theory in Decision-Making
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Innovations in Derivatives Markets = Fixed Income Modeling, Valuation Adjustments, Risk Management, and Regulation /
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Stochastic Processes and Calculus = An Elementary Introduction with Applications /
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Quantitative Analysis and IBM® SPSS® Statistics = A Guide for Business and Finance /
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Statistical Methods and Applications in Insurance and Finance = CIMPA School, Marrakech and Kelaat M’gouna, Morocco, April 2013 /
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The Fascination of Probability, Statistics and their Applications = In Honour of Ole E. Barndorff-Nielsen /
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Artificial Intelligence in Financial Markets = Cutting Edge Applications for Risk Management, Portfolio Optimization and Economics /
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Stochastische Prozesse = Eine Einführung für Statistiker und Datenwissenschaftler /
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Quantitative Modeling of Operational Risk in Finance and Banking Using Possibility Theory
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Banking Beyond Banks and Money = A Guide to Banking Services in the Twenty-First Century /
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Finanz- und Wirtschaftsmathematik im Unterricht Band 1 = Zinsen, Steuern und Aktien /
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Praktische Lebensversicherungsmathematik = Mit zahlreichen Beispielen sowie Aufgaben plus Lösungen /
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Trends in Mathematical Economics = Dialogues Between Southern Europe and Latin America /
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Options and Derivatives Programming in C++ = Algorithms and Programming Techniques for the Financial Industry /
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Financial Economics = A Concise Introduction to Classical and Behavioral Finance /
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Mathematik für BWL-Bachelor: Übungsbuch = Ergänzungen für Vertiefung und Training /
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Replizierende Portfolios in der Lebensversicherung = Mathematische Fundierung und Analyse /
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Identifying Patterns in Financial Markets = New Approach Combining Rules Between PIPs and SAX /
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Uncertainty, Expectations and Asset Price Dynamics = Essays in Honor of Georges Prat /
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Economic and Financial Modelling with EViews = A Guide for Students and Professionals /
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Credit-Risk Modelling = Theoretical Foundations, Diagnostic Tools, Practical Examples, and Numerical Recipes in Python /
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Moderne Finanzmathematik – Theorie und praktische Anwendung Band 2 = Erweiterungen des Black-Scholes-Modells, Zins, Kreditrisiko und Statistik /
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Contemporary Trends and Challenges in Finance = Proceedings from the 3rd Wroclaw International Conference in Finance /
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Supply Chain Finance = Integrating Operations and Finance in Global Supply Chains /
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Solutions to Financial Economics = Exercises on Classical and Behavioral Finance /
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Frontiers in Stochastic Analysis–BSDEs, SPDEs and their Applications = Edinburgh, July 2017 Selected, Revised and Extended Contributions /
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Nonlinear Expectations and Stochastic Calculus under Uncertainty = with Robust CLT and G-Brownian Motion /
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