=Rosazza Gianin, Emanuela_Sgarra, Carlo - Mathematical Finance_ From Binomial Model to Risk Measures=Mathematical Finance_ From Binomial Model to Risk Measures
数学金融:从二项式模型到风险测量Mathematical Finance_ From Binomial Model to Risk Measures教学讲义笔记
=Rosazza Gianin, Emanuela_Sgarra, Carlo - Mathematical Finance_ From Binomial Model to Risk Measures=Mathematical Finance_ From Binomial Model to Risk Measures
讲义内容目录供参考!
Contents.docx
(13.36 KB)
Mathematical Finance_ From Binomial Model to Risk Measures.rar
(1.74 MB, 需要: RMB 29 元)
本附件包括:- Contents.docx
- Mathematical Finance_ From Binomial Model to Risk Measures.pdf


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