Quantitative financial risk management : theory and practice

Spremljeno u:
Bibliografski detalji
Glavni autor: ZOPOUNIDIS, Constantin
Format: Umum
Jezik:Inggris
Izdano: A Wiley - Interscience 2015
Teme:
Oznake: Dodaj oznaku
Bez oznaka, Budi prvi tko označuje ovaj zapis!
PINJAM
id oai:lib.uajy.ac.id:0000055748
record_format oai_dc
spelling oai:lib.uajy.ac.id:00000557482018-06-06 00:00:00.000Quantitative financial risk management : theory and practiceZOPOUNIDIS, ConstantinFINANCIALA Wiley - Interscience 2015Umumxix, 428 p.: bib.; ind.; 24 cm332 ZOP qISBN:978-1-118-73818-4Inggrishttps://siquest.uajy.ac.id/description/0000055748
institution Universitas Atma Jaya Yogyakarta
collection Perpustakaan Yogyakarta
language Inggris
topic FINANCIAL
spellingShingle FINANCIAL
ZOPOUNIDIS, Constantin
Quantitative financial risk management : theory and practice
description
format Umum
author ZOPOUNIDIS, Constantin
author_facet ZOPOUNIDIS, Constantin
author_sort ZOPOUNIDIS, Constantin
title Quantitative financial risk management : theory and practice
title_short Quantitative financial risk management : theory and practice
title_full Quantitative financial risk management : theory and practice
title_fullStr Quantitative financial risk management : theory and practice
title_full_unstemmed Quantitative financial risk management : theory and practice
title_sort quantitative financial risk management : theory and practice
physical xix, 428 p.: bib.; ind.; 24 cm
publisher A Wiley - Interscience
publishDate 2015
callnumber-raw 332 ZOP q
callnumber-search 332 ZOP q
isbn ISBN:978-1-118-73818-4
_version_ 1740835561681190912