Mathematics and Statistics for Financial Risk Management المزيد من الكتب المشابهة
Probability and Statistics for Finance
٢٠١٠
Statistics and Data Analysis for Financial Engineering
٢٠١٠
Essential Mathematics for Market Risk Management
٢٠١١
Financial Risk Forecasting
٢٠١١
Introductory Econometrics for Finance
٢٠١٩
Risk-Return Analysis: The Theory and Practice of Rational Investing (Volume One)
٢٠١٣
The Econometrics of Financial Markets
٢٠١٢
Portfolio Selection
١٩٦٨
Pairs Trading
٢٠١١
The Handbook of Portfolio Mathematics
٢٠٠٨
Introductory Business Statistics
٢٠١٩
Econometrics
٢٠١١
Econometrics
٢٠١١
Mostly Harmless Econometrics
٢٠٠٨
Financial Modeling with Crystal Ball and Excel
٢٠١٢