Martingale methods in financial modelling
By: MUSIELA, Marek.
Series: Stochastic modelling and applied probability; no.36. Publisher: New York Springer-Verlag 2007Edition: 2nd ed.Description: xix, 680 p.-.ISBN: 3540209662.Subject(s): Finance-Mathematical modelsDDC classification: 332Item type | Current location | Collection | Call number | Status | Date due | Barcode |
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Books in Reference (R) | Main Library Social Science Section | R | 332 MUS (Browse shelf) | Available | 164314 |
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