Probability and finance theory
By: Lim, Kian Guan.
Material type: BookPublisher: New Jersey World Scientific 2011Description: xiii, 390p.ISBN: 9789814307932.Subject(s): Finance --Mathematical modelsDDC classification: 332.015192 | L628pItem type | Current location | Collection | Call number | Status | Date due | Barcode | Item holds |
---|---|---|---|---|---|---|---|
Books | PK Kelkar Library, IIT Kanpur | General Stacks | 332.015192 L628p (Browse shelf) | Checked out to ARYAN JAIN (S20020100) | 08/06/2024 | A172542 |
Total holds: 0
Browsing PK Kelkar Library, IIT Kanpur Shelves , Collection code: General Stacks Close shelf browser
332.015118 M42 Mathematical modeling and numerical methods in finance | 332.015118 M973M2 MARTINGALE METHODS IN FINANCIAL MODELLING | 332.01513 R662I INTRODUCTION TO THE MATHEMATICS OF FINANCE | 332.015192 L628p Probability and finance theory | 332.0151922 B469s Stochastic filtering with applications in finance | 332.0151922 C172s Stochastic calculus for finance | 332.0151922 C451s Stochastic analysis for finance with simulations |
Includes Index
There are no comments for this item.