Rosazza Gianin, E., & Sgarra, C. (2013). Mathematical Finance: Theory Review and Exercises: From Binomial Model to Risk Measures (1st ed. 2013.). Cham: Springer International Publishing.
Chicago Style CitationRosazza Gianin, Emanuela, and Carlo Sgarra. Mathematical Finance: Theory Review and Exercises: From Binomial Model to Risk Measures. 1st ed. 2013. Cham: Springer International Publishing, 2013.
MLA CitationRosazza Gianin, Emanuela, and Carlo Sgarra. Mathematical Finance: Theory Review and Exercises: From Binomial Model to Risk Measures. 1st ed. 2013. Cham: Springer International Publishing, 2013.
Warning: These citations may not always be 100% accurate.