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dc.contributor.authorSeverini, Thomas A-
dc.date.accessioned2025-04-05T06:22:10Z-
dc.date.available2025-04-05T06:22:10Z-
dc.date.issued2018-
dc.identifier.urihttp://thuvienso.thanglong.edu.vn//handle/TLU/12850-
dc.description.abstractThe audience for the book is students majoring in Statistics and Economics as well as in quantitative fields such as Mathematics and Engineering. Readers are assumed to have some background in statistical methods along with courses in multivariate calculus and linear algebra.vi
dc.format.extent387 pagesvi
dc.language.isoenvi
dc.publisherCRC Pressvi
dc.subjectFinance-Statistical methodsvi
dc.subjectFinance-Mathematical modelsvi
dc.subjectPhương pháp thống kêvi
dc.subjectCác mô hình toán họcvi
dc.titleIntroduction to statistical methods for financial modelsvi
dc.typeSách/Bookvi
Appears in Collections1-Kinh tế - Quản lý

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