Пожертвування 15 вересня 2024 – 1 жовтня 2024 Про збір коштів
1
Theory of Financial Risk and Derivative Pricing: From Statistical Physics to Risk Management

Theory of Financial Risk and Derivative Pricing: From Statistical Physics to Risk Management

Рік:
2004
Мова:
english
Файл:
PDF, 4.94 MB
0 / 0
english, 2004
2
A First Course in Random Matrix Theory: for Physicists, Engineers and Data Scientists

A First Course in Random Matrix Theory: for Physicists, Engineers and Data Scientists

Рік:
2020
Мова:
english
Файл:
PDF, 5.38 MB
4.0 / 4.5
english, 2020
3
Theory of Financial Risks: From Statistical Physics to Risk Management

Theory of Financial Risks: From Statistical Physics to Risk Management

Рік:
2009
Мова:
english
Файл:
PDF, 13.62 MB
0 / 0
english, 2009
4
Theory of Financial Risk and Derivative Pricing: From Statistical Physics to Risk Management

Theory of Financial Risk and Derivative Pricing: From Statistical Physics to Risk Management

Рік:
2004
Мова:
english
Файл:
PDF, 38.71 MB
0 / 0
english, 2004
5
A First Course in Random Matrix Theory: for Physicists, Engineers and Data Scientists

A First Course in Random Matrix Theory: for Physicists, Engineers and Data Scientists

Рік:
2020
Мова:
english
Файл:
EPUB, 17.28 MB
0 / 0
english, 2020
6
Theory of financial risks: from statistical physics to risk management

Theory of financial risks: from statistical physics to risk management

Рік:
2000
Мова:
english
Файл:
DJVU, 2.96 MB
0 / 0
english, 2000
7
A First Course in Random Matrix Theory

A First Course in Random Matrix Theory

Рік:
2020
Мова:
english
Файл:
PDF, 3.89 MB
4.0 / 0
english, 2020
8
Theory of financial risks: from statistical physics to risk management

Theory of financial risks: from statistical physics to risk management

Рік:
2000
Мова:
english
Файл:
PDF, 15.11 MB
0 / 0
english, 2000
9
Theory of financial risks

Theory of financial risks

Рік:
2000
Мова:
english
Файл:
PDF, 2.10 MB
0 / 0
english, 2000
10
Theory Of Financial Risks - From Statistical Physics To Risk Management

Theory Of Financial Risks - From Statistical Physics To Risk Management

Рік:
2000
Мова:
english
Файл:
PDF, 8.32 MB
0 / 0
english, 2000
11
Theory of financial risks: from statistical physics to risk management

Theory of financial risks: from statistical physics to risk management

Рік:
2000
Мова:
english
Файл:
DJVU, 2.24 MB
0 / 0
english, 2000
12
Theory of Financial Risks: From Statistical Physics to Risk Management

Theory of Financial Risks: From Statistical Physics to Risk Management

Рік:
2000
Мова:
english
Файл:
PDF, 22.11 MB
0 / 0
english, 2000
13
Theory of Financial Risk and Derivative Pricing

Theory of Financial Risk and Derivative Pricing

Рік:
2003
Файл:
PDF, 5.22 MB
0 / 0
2003
15
Theory of Financial Risk and Derivative Pricing: From Statistical Physics to Risk Management

Theory of Financial Risk and Derivative Pricing: From Statistical Physics to Risk Management

Рік:
2004
Мова:
english
Файл:
PDF, 4.94 MB
0 / 0
english, 2004
16
A First Course in Random Matrix Theory: For Physicists, Engineers and Data Scientists

A First Course in Random Matrix Theory: For Physicists, Engineers and Data Scientists

Рік:
2020
Мова:
english
Файл:
PDF, 5.36 MB
0 / 0
english, 2020