Please use this identifier to cite or link to this item: http://thuvienso.bvu.edu.vn/handle/TVDHBRVT/15357
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dc.contributor.authorRoger, Patrick-
dc.date.accessioned2016-11-17T03:25:27Z-
dc.date.available2016-11-17T03:25:27Z-
dc.date.issued2010-
dc.identifier.citation1st editionvi
dc.identifier.isbn9788776815899-
dc.identifier.urihttp://thuvienso.bvu.edu.vn/handle/TVDHBRVT/15357-
dc.description.abstractThis book provides technical support for students in finance. It reviews the main probabilistic tools used in financial models in a pedagogical way, starting from simple concepts like random variables and tribes and going to more sophisticated ones like conditional expectations and limit theorems. Many illustrations are given, taken from the financial literature. The book is also a prerequisite for “Stochastic Processes for Finance” published in the same collection.vi
dc.language.isoenvi
dc.publisherbookboon.comvi
dc.subjectProbability for financevi
dc.subjectXác suất tài chínhvi
dc.titleProbability for Finance - eBooks and textbooks from bookboon.comvi
dc.typeBookvi
Appears in Collections:Finance (bookboon.com)

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