Mathematics, finance and risk
Mathematics, finance and risk is a book series. It includes 6 books, written by 3 different authors.
Key facts
- number of authors: 3 people
- number of books: 6
- books: C++ design patterns and derivatives pricing, Optimization methods in finance
- authors: Mark Suresh Joshi, Gerard Cornuejols
- publication dates: 2004, 2008, 2007
- book publishers: Cambridge University Press
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"Mathematics, finance and risk" is one of the 88,457 book series in our database.
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This dashboard is based on data from: The British Library.
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