Cover image for Mathematik in der modernen Finanzwelt Derivate, Portfoliomodelle und Ratingverfahren
Title:
Mathematik in der modernen Finanzwelt Derivate, Portfoliomodelle und Ratingverfahren
Author:
Reitz, Stefan. author.
ISBN:
9783834898609
Physical Description:
X, 303S. online resource.
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E-Book 199925-2001 ONLINE
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