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Quantitative Modeling of Derivative Securities: From Theory to Practice Tapa dura - 1999
de Marco Avellaneda; Peter Laurence
Primera línea
This chapter describes the basic principles of derivative security valuation.
Detalles
- Título Quantitative Modeling of Derivative Securities: From Theory to Practice
- Autor Marco Avellaneda; Peter Laurence
- Encuadernación Tapa dura
- Páginas 336
- Volúmenes 1
- Idioma ENG
- Editorial CRC Press
- Fecha de publicación September 17, 1999
- ISBN 9781584880318 / 1584880317
- Peso 1.72 libras (0.78 kg)
- Dimensiones 9.69 x 6.88 x 0.95 pulgadas (24.61 x 17.48 x 2.41 cm)
- Library of Congress subjects Derivative securities, Options (Finance)
- Número de catálogo de la Librería del Congreso de EEUU 99047242
- Dewey Decimal Code 332.632
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Quantitative Modeling of Derivative Securities: From Theory To Practice
de Avellaneda, Marco, Laurence, Peter
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- ISBN 10 / ISBN 13
- 9781584880318 / 1584880317
- Cantidad disponible
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Waltham Abbey, Essex, United Kingdom
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EUR 80.04EUR 10.56 enviando a USA
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Quantitative Modeling of Derivative Securities: From Theory To Practice
de Laurence, Peter
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Stamford, Connecticut, United States
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EUR 112.19EUR 4.67 enviando a USA
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Descripción:
Chapman and Hall/CRC. hardcover. Very Good. 7x1x10. Looks unread but has ownership ink to title page and touch of foxing to edges.A34 Please email for photos.
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EUR 112.19
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Quantitative Modeling of Derivative Securities: From Theory To Practice
de Avellaneda, Marco
- Usado
- good
- Tapa dura
- Estado
- Usado - Good
- Encuadernación
- Hardcover
- ISBN 10 / ISBN 13
- 9781584880318 / 1584880317
- Cantidad disponible
- 1
- Librería
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Newport Coast, California, United States
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EUR 116.85Envío gratuito a USA
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Descripción:
hardcover. Good. Access codes and supplements are not guaranteed with used items. May be an ex-library book.
Precio
EUR 116.85
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Quantitative Modeling of Derivative Securities: From Theory To Practice
de Marco Avellaneda
- Nuevo
- Tapa dura
- Estado
- New
- Encuadernación
- Hardcover
- ISBN 10 / ISBN 13
- 9781584880318 / 1584880317
- Cantidad disponible
- 1
- Librería
-
Southport, Merseyside, United Kingdom
- Precio
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EUR 159.98EUR 11.74 enviando a USA
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Descripción:
Hardback. New. Based primarily on the analysis of derivatives, this work emphasizes relative-value and hedging ideas applied to different financial instruments. It demonstrates how to take the basic ideas of arbitrage theory and apply them to the design and analysis of financial products.
Precio
EUR 159.98
EUR 11.74
enviando a USA
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Quantitative Modeling of Derivative Securities: From Theory To Practice
de Avellaneda, Marco (Author)/ Laurence, Peter (Author)
- Nuevo
- Tapa dura
- Estado
- New
- Encuadernación
- Hardcover
- ISBN 10 / ISBN 13
- 9781584880318 / 1584880317
- Cantidad disponible
- 1
- Librería
-
Exeter, Devon, United Kingdom
- Precio
-
EUR 188.19EUR 11.80 enviando a USA
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Descripción:
Chapman & Hall, 1999. Hardcover. New. 1st edition. 336 pages. 10.25x7.50x1.00 inches.
Precio
EUR 188.19
EUR 11.80
enviando a USA
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Quantitative Modeling of Derivative Securities: From Theory To Practice
de Avellaneda, Marco; Laurence, Peter
- Nuevo
- Tapa dura
- Estado
- New
- Encuadernación
- Hardcover
- ISBN 10 / ISBN 13
- 9781584880318 / 1584880317
- Cantidad disponible
- 1
- Librería
-
San Diego, California, United States
- Precio
-
EUR 237.06EUR 5.10 enviando a USA
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Descripción:
Chapman and Hall/CRC, 1999-09-17. Hardcover. New. New. In shrink wrap. Looks like an interesting title!
Precio
EUR 237.06
EUR 5.10
enviando a USA