Media type: Book Title: Mathematik in der modernen Finanzwelt : Derivate, Portfoliomodelle und Ratingverfahren Contains: Literaturverz. S. [297] - 298 Contributor: Reitz, Stefan [Author] imprint: Wiesbaden: Vieweg + Teubner, 2011 Published in: Studium Studienbücher Wirtschaftsmathematik Issue: 1. Aufl. Extent: X, 303 S.; graph. Darst; 240 mm x 170 mm Language: German ISBN: 9783834809438 RVK notation: QP 890 : Wirtschaftsrechnen. Finanzmathematik. Handelstechnik Keywords: Finanzmathematik > Stochastik Origination: Footnote:
Departmental Library DrePunct – open access area Shelf-mark: QP 890 R379 Item ID: 33788425 Status: Loanable
Departmental Library DrePunct – stack Shelf-mark: R2017 8 5822 Item ID: 34457042 Status: Loanable, place order > Ordering possible ‒ please log in Delivery expected: 1 - 2 days after order