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SUBJECTS (1-4 of 4)
Risk Management Mathematical Models
1
Mark
  The concepts and practice of mathematical finance
Joshi, M. S. (Mark Suresh), 1969-
Cambridge ; New York : Cambridge University Press, 2008.  
2008
BOOK
LOCATION SHELVED AT LOAN TYPE STATUS
 BJL 5th Floor  HG 6024 A3 J8  8 WEEK LOAN  AVAILABLE
2
Mark
  Credit risk : modeling, valuation and hedging
Bielecki, Tomasz R., 1955-
Berlin : Springer, 2002.  
2002
BOOK
LOCATION SHELVED AT LOAN TYPE STATUS
 BJL 5th Floor  HG 3701 B5  8 WEEK LOAN  AVAILABLE
 BJL 5th Floor  HG 3701 B5  8 WEEK LOAN  AVAILABLE
3
Mark
  Financial risk management with Bayesian estimation of GARCH models theory and applications
Ardia, David.
Berlin : Springer, c2008. -Access this resource online
c2008
EBOOKS
4
Mark
  New directions in mathematical finance

Chichester : John Wiley & Sons, 2002.  
2002
BOOK
LOCATION SHELVED AT LOAN TYPE STATUS
 BJL 5th Floor  HG 4515.2 N5  8 WEEK LOAN  AVAILABLE
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