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Modelling Financial Time Series (Second Edition) Tapa dura - 2008
de Stephen J. Taylor (Editor)
Información de la editorial
Detalles
- Título Modelling Financial Time Series (Second Edition)
- Autor Stephen J. Taylor (Editor)
- Encuadernación Tapa dura
- Edición 2nd
- Páginas 296
- Volúmenes 1
- Idioma ENG
- Editorial World Scientific Publishing Company
- Fecha de publicación 2008-04-01
- Ilustrado Sí
- Features Bibliography, Illustrated, Index, Table of Contents
- ISBN 9789812770844 / 9812770844
- Peso 1.22 libras (0.55 kg)
- Dimensiones 9.07 x 6.42 x 0.83 pulgadas (23.04 x 16.31 x 2.11 cm)
- Dewey Decimal Code 332
Reseñas en medios
Citas
- Reference and Research Bk News, 05/01/2008, Page 163
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Modelling Financial Time Series (2nd Edition)
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MODELLING FINANCIAL TIME SERIES (SECOND EDITION)
de Stephen J Taylor
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Acceptable. IMP: Acceptable- Do not include ACCESS CODE, CD-ROM or companion materials even if stated in item title. It may contain highlighting/markings throughout, and the covers and corners may show shelf wear. Corners, pages may be dent. All text is legible.
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MODELLING FINANCIAL TIME SERIES (SECOND EDITION)
de Stephen J Taylor
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hardcover. Good. Access codes and supplements are not guaranteed with used items. May be an ex-library book.
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MODELLING FINANCIAL TIME SERIES:2ND ED
de Stephen J. Taylor
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Hard Cover. New. New Book; Fast Shipping from UK; Not signed; Not First Edition; Contains innovative models for the prices of financial assets. This volume presents ARCH and stochastic volatility models that are used and cited in academic research and are applied by quantitative analysts in many banks. It also takes
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Modelling Financial Time Series (2nd Edition)
de Stephen J. Taylor
- Nuevo
- Tapa dura
- Estado
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- Encuadernación
- Hardcover
- ISBN 10 / ISBN 13
- 9789812770844 / 9812770844
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Southport, Merseyside, United Kingdom
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Hardback. New. Contains innovative models for the prices of financial assets. This volume presents ARCH and stochastic volatility models that are used and cited in academic research and are applied by quantitative analysts in many banks. It also takes into account the progress made by empirical researchers from 1986 to 2006.
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Modelling Financial Times Series
de Taylor, Stephen J.
- Nuevo
- Tapa dura
- Estado
- Nuevo
- Encuadernación
- Hardcover
- ISBN 10 / ISBN 13
- 9789812770844 / 9812770844
- Cantidad disponible
- 2
- Librería
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Exeter, Devon, United Kingdom
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EUR 132.29EUR 11.96 enviando a USA
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Descripción:
World Scientific Pub Co Inc, 2008. Hardcover. New. 2revised ed edition. 296 pages. 8.95x5.95x0.80 inches.
Precio
EUR 132.29
EUR 11.96
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