Modeling risk : applying Monte Carlo risk simulation, strategic real options, stochastic forecasting, and portfolio optimization. - 2 ed.
Tipo de material: LibroEditor: 2010ISBN: 987654321.Clasificación CDD: 658.15Item type | Current location | Collection | Call number | Copy number | Status | Date due | Barcode |
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Libro - Material General | Biblioteca Campus Palmas | General | 658.15 M963 2ed (Browse shelf) | Available | 0048387 | ||
Libro - Material General | Biblioteca Campus Palmas Audiovisuales | General | CD658.15/M963/2ed (Browse shelf) | 1 | Available | 0048388 |
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332.645/H913f/6 edición/CD-ROM Fundamentals of futures and options markets | CD658.15/M963/2ed Modeling risk : | CD-ROM/303.404/G558s State of the future 2011 | CD-ROM/332.655/H913/ 8 edición/ Ejemplar 1 Introducción a los mercados de futuros y opciones | CD-ROM/519.535/V822/Volumen 2/2 edición Análisis estadístico con SPSS para Windows : |
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