
Mathematical finance has grown into a huge area of research which requires a lot of care and a large number of sophisticated mathematical tools. Mathematically rigorous and yet accessible to advanced level practitioners and mathematicians alike, it considers various aspects of the application of
Не пропускайте акции и распродажи в нашем магазине.
/ / / подобные товары

Mathematics and Statistics for Financial Risk Management is a practical guide to modern financial risk management for both practitioners and academics. Now in its second edition with more topics, more sample problems and more real world examples, this popular guide to financial risk management
Не пропускайте акции и распродажи в нашем магазине.
/ / / подобные товары

A practical guide to understanding how key economic and market statistics drive financial market trends The recent global financial crisis stressed the need for economists who understand how key economic and market statistics drive financial market trends and how to mitigate the risks for
Не пропускайте акции и распродажи в нашем магазине.
/ / / подобные товары

Не пропускайте акции и распродажи в нашем магазине.
ElectroCN / / / подобные товары

Berlin 2046: Die Innenstadt ist eine glitzernde Metropole, separiert von Au?enbezirken, in denen die »Aus-dem-Netz-Gefallenen« ihr erb?rmliches Dasein fristen. Diejenigen, die fr?her zur Mittelschicht geh?rten, sind aufgrund fehlender Jobs zum gr??ten Teil erwerbslos. Um soziale Unruhen zu
Не пропускайте акции и распродажи в нашем магазине.
/ / / подобные товары

A complete set of statistical tools for beginning financial analysts from a leading authority Written by one of the leading experts on the topic, An Introduction to Analysis of Financial Data with R explores basic concepts of visualization of financial data. Through a fundamental balance between
Не пропускайте акции и распродажи в нашем магазине.
/ / / подобные товары

A Comprehensive Guide to Quantitative Financial Risk Management Written by an international team of experts in the field, Quantitative Financial Risk Management: Theory and Practice provides an invaluable guide to the most recent and innovative research on the topics of financial risk management,
Не пропускайте акции и распродажи в нашем магазине.
/ / / подобные товары

A one-of-a-kind guide to identifying and dealing with modern statistical developments in causality Written by a group of well-known experts, Statistics and Causality: Methods for Applied Empirical Research focuses on the most up-to-date developments in statistical methods in respect to causality.
Не пропускайте акции и распродажи в нашем магазине.
/ / / подобные товары

An authoritative handbook on risk management techniques and simulations as applied to financial engineering topics, theories, and statistical methodologies The Handbook of Financial Risk Management: Simulations and Case Studies illustrates the practical implementation of simulation techniques in
Не пропускайте акции и распродажи в нашем магазине.
/ / / подобные товары

Differentialgleichungen, Quantenmechanik, Wahrscheinlichkeitsrechnung – wie alle exakten Naturwissenschaften erfordert auch die Chemie mathematisches Handwerkszeug, um Prozesse und Phanomene zu untersuchen. Was angehende Chemiker von der Mathematik wissen mussen, bietet in bewahrter Weise
Не пропускайте акции и распродажи в нашем магазине.
/ / / подобные товары

The past decade has seen a dramatic increase in the use of Bayesian methods in marketing due, in part, to computational and modelling breakthroughs, making its implementation ideal for many marketing problems. Bayesian analyses can now be conducted over a wide range of marketing problems, from new
Не пропускайте акции и распродажи в нашем магазине.
/ / / подобные товары

Не пропускайте акции и распродажи в нашем магазине.
JDST online / / / подобные товары
Товарные категории, использованные для поиска по вашему запросу: нижнее белье, веб-камеры и тв-тюнеры, пиломатериалы, мультимедийные центры