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author_facet:"Kopp, P. E."
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1
Portfolio
theory
and risk management
by
Capinski, Maciej J.
,
Kopp, P. E.
Published 2014
Cambridge University Press
“
...Portfolio
Theory
& Risk Management...
”
Call Number:
HG4529.5
Read Now
2
Probability for finance
by
Kopp, P. E.
,
Malczak, Jan
,
Zastawniak, Tomasz
Published 2014
Cambridge University Press
“
..., culminating in central limit
theory
. Consequently it provides essential prerequisites to graduate-level study...
”
Call Number:
HF5691
Read Now
3
Stochastic calculus for finance
by
Capiński, Marek
,
Kopp, P. E.
,
Traple, Janusz
Published 2012
Cambridge University Press
“
... formula (proved in detail) become the centrepiece, both for
theory
and applications, and to provide...
”
Call Number:
HG106
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332 - Financial economics
3
Language
English
3
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Cambridge Books Online
3
Author
Kopp, P. E.
Capinski, Maciej J.
1
Capiński, Marek
1
Malczak, Jan
1
Traple, Janusz
1
Zastawniak, Tomasz
1
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