Mathematics and statistics for financial risk management /

Miller, Michael B. 1973-

Mathematics and statistics for financial risk management / Michael B. Miller. - Second edition. - 1 online resource (333 pages) - Wiley finance series .

Includes bibliographical references and index.

9781118757550 (ebook)


Risk management--Mathematical models.
Risk management--Statistical methods.


Electronic books.

HD61 / .M537 2013eb

332.01/5195