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This fifth, newly revised edition of the classical introduction to the mathematics of finance, is based on stochastic models in discrete time. Updates include, new chapter on dynamic portfolio strategies, enhanced graphics with real-world data, impr
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This fifth, newly revised edition of the classical introduction to the mathematics of finance, is based on stochastic models in discrete time. Updates include, new chapter on dynamic portfolio strategies, enhanced graphics with real-world data, impr
Atsiliepimai