000 01492nam a2200373 i 4500
001 ebr10822324
003 CaPaEBR
006 m o d
007 cr cn|||||||||
008 130712s2013 nju ob 001 0 eng d
020 _a9781118757550 (e-book)
020 _z9781118750292
040 _aCaPaEBR
_beng
_erda
_epn
_cCaPaEBR
035 _a(OCoLC)852763676
050 1 4 _aHD61
_b.M537 2013eb
082 0 4 _a332.01/5195
_223
100 1 _aMiller, Michael B.
_q(Michael Bernard),
_d1973-
245 1 0 _aMathematics and statistics for financial risk management /
_cMichael B. Miller.
250 _aSecond edition.
264 1 _aHoboken :
_bWiley,
_c2013.
300 _a1 online resource (333 pages)
336 _atext
_2rdacontent
337 _acomputer
_2rdamedia
338 _aonline resource
_2rdacarrier
490 0 _aWiley finance series
504 _aIncludes bibliographical references and index.
588 _aDescription based on online resource; title from PDF title page (ebrary, viewed January 15, 2013).
590 _aElectronic reproduction. Palo Alto, Calif. : ebrary, 2015. Available via World Wide Web. Access may be limited to ebrary affiliated libraries.
650 0 _aRisk management
_xMathematical models.
650 0 _aRisk management
_xStatistical methods.
655 0 _aElectronic books.
797 2 _aebrary.
856 4 0 _uhttp://site.ebrary.com/lib/rucke/Doc?id=10822324
_zAn electronic book accessible through the World Wide Web; click to view
999 _c85367
_d85367