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by Maciej J. CapinskiPaperback details (United Kingdom). details (USA). details (Germany). details (Canada). ISBN: 978-0-521-17714-6 ISBN-10: 0-521-17714-6 Cambridge University Press · 2014 |
| See also: | ||
| 2014 | Hardcover | Portfolio Theory and Risk Management (Mastering Mathematical Finance) |