Descripción:
Cambridge University Press, 2001. This is an ex-library book and may have the usual library/used-book markings inside.This book has hardback covers. Clean from markings. In good all round condition. Dust jacket in good condition. Please note the Image in this listing is a stock photo and may not match the covers of the actual item,1700grams, ISBN:9780521792370
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Handbooks in Mathematical Finance: Option Pricing, Interest Rates and Risk Management Tapa dura - 2001 - 1st Edición
de E. Jouini (Editor); J. Cvitanic (Editor); Marek Musiela (Editor)
Primera línea
We shall consider models where an investor, acting on a financial market with random price movements and having T as his time horizon, transforms the initial endowment into a certain resulting wealth; let RT denote the set of all final wealth corresponding to possible investment strategies.
Detalles
- Título Handbooks in Mathematical Finance: Option Pricing, Interest Rates and Risk Management
- Autor E. Jouini (Editor); J. Cvitanic (Editor); Marek Musiela (Editor)
- Encuadernación Tapa dura
- Número de edición 1st
- Edición 1
- Páginas 686
- Volúmenes 1
- Idioma ENG
- Editorial Cambridge University Press, Cambridge UK
- Fecha de publicación 2001-07-30
- Ilustrado Sí
- Features Bibliography, Illustrated, Index
- ISBN 9780521792370 / 0521792371
- Peso 3.44 libras (1.56 kg)
- Dimensiones 9.84 x 7.28 x 1.44 pulgadas (24.99 x 18.49 x 3.66 cm)
- Library of Congress subjects Risk management, Derivative securities - Prices -
- Número de catálogo de la Librería del Congreso de EEUU 00052911
- Dewey Decimal Code 332.015
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Handbooks in Mathematical Finance: Option Pricing, Interest Rates and Risk Management
de Jouini, E. et al. (eds)
- Usado
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- 9780521792370 / 0521792371
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Lincoln, Lincolnshire, United Kingdom
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Handbooks in Mathematical Finance: Option Pricing, Interest Rates and Risk Management
- Usado
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- Used - Good
- ISBN 10 / ISBN 13
- 9780521792370 / 0521792371
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Waltham Abbey, Essex, United Kingdom
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Cambridge University Press. Used - Good. Ships from UK in 48 hours or less (usually same day). Your purchase helps support Sri Lankan Children's Charity 'The Rainbow Centre'. Ex-library, so some stamps and wear, but in good overall condition. 100% money back guarantee. We are a world class secondhand bookstore based in Hertfordshire, United Kingdom and specialize in high quality textbooks across an enormous variety of subjects. We aim to provide a vast range of textbooks, rare and collectible books at a great price. Our donations to The Rainbow Centre have helped provide an education and a safe haven to hundreds of children who live in appalling conditions. We provide a 100% money back guarantee and are dedicated to providing our customers with the highest standards of service in the bookselling industry.
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Option Pricing Interest Rates And Risk Management Handbooks In Mathematical Finance (Hb 2001)
de Jouini E
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- Muy bueno
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- Usado - Muy bueno
- ISBN 10 / ISBN 13
- 9780521792370 / 0521792371
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Indianapolis, Indiana, United States
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Very Good.
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Handbooks in Mathematical Finance: Option Pricing, Interest Rates and Risk Management
de E. Jouini
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Uxbridge, Greater London, United Kingdom
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Descripción:
Hard Cover. New. New Book; Fast Shipping from UK; Not signed; Not First Edition; This 2001 handbook surveys the state of our understanding in the field of mathematical finance, as seen by leading researchers in the field. Each article surveys the area in question, discusses new results and points out open problems.
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Handbooks in Mathematical Finance
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Woodside, New York, United States
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Descripción:
Cambridge University Press CUP , pp. 686 . Hardback. New.
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Option Pricing, Interest Rates and Risk Management Handbooks in Mathematical Finance
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Houston, Texas, United States
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NEW. 100% BRAND NEW US HARDCOVER Edition / Mint condition / Never been read / ISBN-13: 9780521792370 / Shipped out in one business day with free tracking.
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Handbooks in Mathematical Finance: Option Pricing, Interest Rates and Risk Management
de Jouini, E
- Nuevo
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San Diego, California, United States
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Cambridge University Press, 2001-07-30. Hardcover. New. New. In shrink wrap. Looks like an interesting title!
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OPTION PRICING INTEREST RATES AND RISK MANAGEMENT HANDBOOKS IN MATHEMATICAL FINANCE (HB 2001)
de JOUINI E
- Nuevo
- Estado
- Nuevo
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- USA Edition
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- 9780521792370 / 0521792371
- Cantidad disponible
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ROANOKE, Virginia, United States
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USA Edition . Brand New. New. Ship within 24hrs. Satisfaction 100% guaranteed. I Ships from multiple Locations I ""Special Note"" We do not Provide Service On APO & PO BOX Box addresses. Delivery with In 7-14 working Day Only. This Books ship from the United Kingdom & USA other locations in India depending on your location and availability.
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Option Pricing, Interest Rates and Risk Management
de Elyes Jouini, Jaksa Cvitanic and Marek Musiela
- Nuevo
- Tapa dura
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- Nuevo
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- 9780521792370 / 0521792371
- Cantidad disponible
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New Delhi, Delhi, India
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EUR 405.40EUR 14.16 enviando a USA
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Descripción:
Cambridge University Press, 2001. Hardcover. New.
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EUR 405.40
EUR 14.16
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Option Pricing, Interest Rates and Risk Management
de Elyes Jouini, Jaksa Cvitanic and Marek Musiela
- Nuevo
- Tapa dura
- Estado
- Nuevo
- Encuadernación
- Hardcover
- ISBN 10 / ISBN 13
- 9780521792370 / 0521792371
- Cantidad disponible
- 10
- Librería
-
New Delhi, Delhi, India
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EUR 405.40EUR 14.16 enviando a USA
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Descripción:
Cambridge University Press, 2001. Hardcover. New.
Precio
EUR 405.40
EUR 14.16
enviando a USA