Mathematics and Statistics for Financial Risk Management.
Second Edition.
Author
Miller, Michael B.
Place of Publication
Hoboken, N. J.
Publication Name
John Wiley & Sons
Year
2014
Language(s)
English
Description
260x185 mm. XIII+317 pages. Hardcover. Cover slightly rubbed and slightly curved. Spine edges slightly bumped. Text block edges slightly stained. Pen inscription on first whitepage. Else in good condition.
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