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- 2013016582 contributor B12723379.
- 2013016582 contributor B12723380.
- 2013016582 date "2013".
- 2013016582 description "Description based on print version record and CIP data provided by publisher; resource not viewed.".
- 2013016582 extent "1 online resource.".
- 2013016582 hasFormat "Mathematical methods for finance".
- 2013016582 identifier "9781118420089 (pdf)".
- 2013016582 identifier "9781118421499 (epub)".
- 2013016582 identifier "9781118720530 ( mobipocket)".
- 2013016582 isFormatOf "Mathematical methods for finance".
- 2013016582 isPartOf "The Frank J. Fabozzi series".
- 2013016582 issued "2013".
- 2013016582 language "eng".
- 2013016582 relation "Mathematical methods for finance".
- 2013016582 subject "332.01/5195 23".
- 2013016582 subject "Asset-liability management Mathematical models.".
- 2013016582 subject "Finance Mathematical methods.".
- 2013016582 subject "HG106".
- 2013016582 subject "Risk management Mathematical models.".
- 2013016582 title "Mathematical methods for finance : tools for asset and risk management / Sergio M. Focardi, Frank J. Fabozzi, Turan G. Bali.".
- 2013016582 type "text".