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: Modelling Extremal Events for Insurance and Finance (Applications of Mathematics)
Modelling Extremal Events for Insurance and Finance (Applications of Mathematics)
EUR 64,39
Quantitative Risk Management: Concepts, Techniques and Tools (Princeton Series in Finance)
An Introduction to Copulas (Springer Series in Statistics)
Stochastic Calculus for Finance II: Continuous-Time Models: v. 2 (Springer Finance)
Monte Carlo Methods in Financial Engineering: v. 53 (Applications of Mathematics)
The Black Swan: The Impact of the Highly Improbable
Modelling Extremal Events for Insurance and Finance (Applications of Mathematics)
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Copyright 2008 (x)