Mathematics and Statistics For Financial Risk Management

by Miller, Michael B

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Mathematics and Statistics for Financial Risk Management

Mathematics and Statistics for Financial Risk Management

by Michael B. Miller

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Hardback
ISBN
9781118750292
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Hardback. New. New Book; Fast Shipping from UK; Not signed; Not First Edition; Mathematics and Statistics for Financial Risk Management is a practical guide to modern financial risk management for both practitioners and academics.
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Mathematics and Statistics for Financial Risk Management

Mathematics and Statistics for Financial Risk Management

by Michael B. Miller

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Used - Good
Published
2013
Binding
Hardcover
ISBN
9781118750292
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Wiley & Sons, Incorporated, John, 2013. Hardcover. Good. Pages can have notes/highlighting. Spine may show signs of wear. ~ ThriftBooks: Read More, Spend Less.Dust jacket quality is not guaranteed.
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Mathematics and Statistics for Financial Risk Management: Assessing the Math in Risk Management (Wiley Finance)

by Miller, Michael B.

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Used
Published
2012
ISBN
9781118170625
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John Wiley & Sons, 2012. This is an ex-library book and may have the usual library/used-book markings inside.This book has hardback covers. In good all round condition. Dust jacket in good condition. Please note the Image in this listing is a stock photo and may not match the covers of the actual item,600grams, ISBN:9781118170625
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Mathematics and Statistics for Financial Risk Management

Mathematics and Statistics for Financial Risk Management

by Michael B. Miller

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New
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Hardback
ISBN
9781118750292
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Hardback. New. Mathematics and Statistics for Financial Risk Management is a practical guide to modern financial risk management for both practitioners and academics.
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Mathematics and Statistics for Financial Risk Management

Mathematics and Statistics for Financial Risk Management

by Michael B. Miller

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New
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Hardback
ISBN
9781118750292
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Hardback. New. Mathematics and Statistics for Financial Risk Management is a practical guide to modern financial risk management for both practitioners and academics.
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Mathematics and Statistics for Financial Risk Management

by Miller, Michael B.

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2nd ed.
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9781118750292
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Philadelphia, Pennsylvania, USA
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Wiley. 2nd ed.. Acceptable. Acceptable. Heavy wear. Ship within 24hrs. Satisfaction 100% guaranteed. APO/FPO addresses supported
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Mathematics and Statistics for Financial Risk Management

by Miller, Michael B

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Used - Good
Published
2013-12-31
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Hardcover
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9781118750292
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Wiley, 2013-12-31. hardcover. Good. 7x1x10. Textbook, May Have Highlights, Notes and/or Underlining, BOOK ONLY-NO ACCESS CODE, NO CD, Ships with Tracking
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Mathematics and Statistics for Financial Risk Management

by Miller, Michael B.

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9781118750292
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Wiley. New. BRAND NEW, GIFT QUALITY! NOT OVERSTOCKS OR MARKED UP REMAINDERS! DIRECT FROM THE PUBLISHER!
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Mathematics and Statistics for Financial Risk Management

by Miller, Michael B

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9781118750292
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Wiley. New. Special order direct from the distributor
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Mathematics and Statistics for Financial Risk Management

by Miller, Michael B

Condition
New
Published
2013-12-31
Binding
Hardcover
ISBN
9781118750292
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Franklin Lakes, New Jersey, USA
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Wiley, 2013-12-31. hardcover. New. 7x1x10. New Textbook, Ships with Tracking
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Mathematics and Statistics for Financial Risk Management

by Miller, Michael B.

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Used - Good
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Hardcover
ISBN
9781118170625
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hardcover. Good. Access codes and supplements are not guaranteed with used items. May be an ex-library book.
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Mathematics and Statistics for Financial Risk Management

by Miller, Michael B.

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Used - Good
Binding
Hardcover
ISBN
9781118750292
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hardcover. Good. Access codes and supplements are not guaranteed with used items. May be an ex-library book.
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Mathematics and Statistics for Financial Risk Management, Second Edition + Website

by Miller, Michael B.

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New
Published
2013
Binding
Hardcover
ISBN
9781118750292
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Exeter, Devon, GBR
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A$183.82

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John Wiley & Sons Inc, 2013. Hardcover. New. 2nd har/psc edition. 304 pages. 10.25x7.25x1.00 inches.
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