tailieunhanh - QUAINTITATWE FINANCE RISK MANAGEMNET

This book is primarily for PhD scientists and engineers who want to learn about quantitative finance, and for graduate students in finance programs’. Practicing quantitative analysts (“quants”) and research workers will find topics of interest. There are even essays with no equations for non-technical managers. | QUANTITATIVE Finance rT and Risk Management A Physicist s Approach Jan w Dash Quantitative Finance 1AND Risk Management A Physicist s Approach This page intentionally left .

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