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Financial Mathematics, Volatility and Covariance Modelling: Volume 2 Style:Paperback / softback van Velzen)

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van Velzen)

Weight: 200g

From measuring the height of a building to counting the number of leaves on a tree

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It discusses various approaches

Financial Mathematics, Volatility and Covariance Modelling: Volume 2 Style:Paperback / softback van Velzen)This book provides an up to date series of advanced chapters on applied financial econometric techniques, covering commodities finance, mathematics & stochastics, international macroeconomics, and financial econometrics. It covers mathematical finance, stochastic modelling, and control optimization, as well as financial volatility and covariance modelling. It is useful for students and researchers, academics, and established researchers. Format:

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