Mathematics of money management: risk analysis for traders
Material type: TextPublication details: 1992 John Wiley & Sons ChichesterDescription: xxiii, 374 pSubject(s): Summary: 1343=00Item type | Current library | Collection | Call number | Status | Date due | Barcode | |
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Books | H.T. Parekh Library | GSB Collection | 332.60151 VIN (Browse shelf(Opens below)) | Available | 17670 |
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332.6015 JOS Introduction to mathematical portfolio theory / | 332.60151 CAP Mathematics for finance: an introduction to financial engineering | 332.60151 CAP Mathematics for finance : an introduction to financial engineering | 332.60151 VIN Mathematics of money management: risk analysis for traders | 332.6015118 WIL New directions in mathematical finance | 332.60151474 PET Fractal market analysis : applying chaos theory to investment and economics | 332.6019 ADV Advances in Behavioral Finance, Volume II / |
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