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  • Mathematical and Statistical Methods for Actuarial Sciences and Finance by Marco

    • Item No : 146574770196
    • Condition : Brand New
    • Brand : No brand Info
    • Seller : the_nile
    • Current Bid : US $151.55
    • * Item Description

    • Firm's volatility risk under microstructure noise (F. Barsotti, S. Sanfelici). - Bifactorial pricing models: light and shadows in correlation role (R. Cocozza, A. De Simone). - Testing for Normality when the sampled distribution is Extended Skew-Normal (C. Franceschini, N. Loperfido).
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