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Mathematics, Finance and Risk Ser.: Concepts and Practice of Mathematical...

Description: This textbook is a valuable resource for anyone interested in the intersection of mathematics and finance. With a focus on practical applications, it covers a range of topics such as interest rates, investments, securities, derivatives, decision-making, problem-solving, and options pricing. The book is authored by Mark S. Joshi and published by Cambridge University Press in 2008. It is part of the Mathematics, Finance and Risk Ser. series and has 558 pages. The book measures 9.8 inches in length, 6.7 inches in width, and 1.2 inches in height, and weighs 43 oz. The language of the book is English and it is a hardcover format.

Price: 50 USD

Location: Elmhurst, New York

End Time: 2024-11-30T14:55:21.000Z

Shipping Cost: 6.13 USD

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Mathematics, Finance and Risk Ser.: Concepts and Practice of Mathematical...

Item Specifics

All returns accepted: ReturnsNotAccepted

Number of Pages: 558 Pages

Publication Name: concepts and Practice of Mathematical Finance

Language: English

Publisher: Cambridge University Press

Item Height: 1.2 in

Publication Year: 2008

Subject: Interest, Investments & Securities / Derivatives, Decision-Making & Problem Solving, Finance / General, Investments & Securities / Analysis & Trading Strategies, Investments & Securities / Options, Applied

Item Weight: 43 Oz

Type: Textbook

Item Length: 9.8 in

Subject Area: Mathematics, Business & Economics

Author: Mark S. Joshi

Series: Mathematics, Finance and Risk Ser.

Item Width: 6.7 in

Format: Hardcover

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