Quantitative Models for Financial Risk

In recent decades, the fields of financial mathematics and financial risk evaluationhave undergone explosive development. Financial mathematics, broadly defined, is aclass of applied mathematics devoted to modelling and analysing financial markets, and to aiding the management of financial resources...

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主要作者: The Open University of Hong Kong (Author)
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出版: The Open University of Hong Kong, 2016.
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索引号: A1234.567
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