Treats the key classical models of finance through an applied probability approach. This book is suitable for those studying the mathematics of the classical theory of finance.
- Limba : Engleza
- Data Publicarii : 31 May 2004
- Editie : 1st ed. 2004. Corr. 2nd printing 2010
- Format : Hardback
- Numar pagini : 550
- ISBN : 9780387401010