Title: Introduction to Statistical Methods for Financial Models

Title
Introduction to Statistical Methods for Financial Models
Package
Taylor & Francis - HBZ Consortia Package
Platform
Taylor & Francis eBooks
URL
https://www.taylorfrancis.com/books/9781315270388 
Status
Current
Publication Type
Monograph
Medium
Book
Language
First Author
Severini, Thomas A
First Editor
Empty
Publisher Name
CRC Press
Date First in Print
2017-07-06
Date First Online
2017-07-06
Access Start Date
2022-11-14
Access End Date
2024-12-31
Volume Number
Empty
Edition Statement
Empty
Access Type
Paid
Note
Empty
Last Changed External
2024-09-30

Curated By

Date Created
2022-10-21 17:59:53
Last Updated
2024-09-30 21:03:40
UUID
acb1cb01-9b1d-43af-bbb4-050ee44f7b04
Identifier Namespace Name Identifier Namespace Value Identifier
DOI doi 10.1201/b21962  
eISBN eisbn 9781315270388
ISBN isbn 9781138198371
Title_ID title_id 10.1201/b21962
Subject Area
Economics, Finance, Business & Industry,Mathematics & Statistics
Dewey Decimal Classification
Series
Empty
Parent publication title ID
Empty
Superseding publication title ID
Empty
Preceding publication title ID
Empty
Open Access
Empty
Price Type Value Currency
list 130.0 EUR
list 175.0 USD
list 130.0 GBP


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