Measure Theoretic Probability & Risk in Quant Finance: Expectations, Filtrations, Martingales, and Tail Modeling for Modern Derivatives Systematic Trading

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Amazon Pagine: 487, Copertina flessibile, Independently published

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Pagine: 487, Copertina flessibile, Independently published


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Marchio Independently Published
EAN
  • 9798243592215

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