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2014, Cambridge University Press
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ISBN:
1107003679
ISBN-13:
9781107003675
Publisher:
Cambridge University Press
Published:
2014
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English
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New. 172 p. Mastering Mathematical Finance . Worked examples or Exercises; 10 Halftones, unspecified; 25 Line drawings, unspecified. Intended for college/higher education audience. Intended for professional and scholarly audience.
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Portfolio Theory and Risk Management (Mastering Mathematical Finance)
by Kopp, Ekkehard, Capinski, Maciej J.
2014, Cambridge University Press
ISBN-13:
9781107003675
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2014, Cambridge University Press
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ISBN:
1107003679
ISBN-13:
9781107003675
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2014
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English
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Very good. Unread. There is some shelfwear to the cover. Ready to dispatch from the UK.
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2014, Cambridge University Press
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ISBN:
1107003679
ISBN-13:
9781107003675
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2014
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New. Contains: Line drawings, Halftones, Unspecified. Mastering Mathematical Finance . 35 b/w illus. 75 exercises. Intended for college/higher education audience.
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1107003679
ISBN-13:
9781107003675
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2014
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ISBN:
1107003679
ISBN-13:
9781107003675
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2014
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New. Contains: Line drawings, Halftones, Unspecified. Mastering Mathematical Finance . 35 b/w illus. 75 exercises. Intended for college/higher education audience.
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2014, Cambridge University Press
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ISBN:
1107003679
ISBN-13:
9781107003675
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2014
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New. 172 p. Mastering Mathematical Finance . Worked examples or Exercises; 10 Halftones, unspecified; 25 Line drawings, unspecified. Intended for college/higher education audience. Intended for professional and scholarly audience.
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Portfolio Theory and Risk Management (Mastering Mathematical Finance)
by Capi? Ski, Maciej J.
2014, Cambridge University Press
ISBN-13:
9781107003675
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1107003679
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9781107003675
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Published:
2014
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Portfolio Theory and Risk Management (Mastering Mathematical Finance)
by Capi? Ski, Maciej J.
2014, Cambridge University Press
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9781107003675
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2014, Cambridge University Press
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1107003679
ISBN-13:
9781107003675
Publisher:
Cambridge University Press
Published:
2014
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English
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