Misurare e gestire il rischio finanziario

Menoncin, Francesco.

Misurare e gestire il rischio finanziario [electronic resource] / by Francesco Menoncin. - Milano : Springer Milan, 2009. - digital.

9788847011472

10.1007/978-88-470-1147-2 doi


Economics.
Mathematics.
Finance.
Taxation.
Banks and banking.
Economics/Management Science.
Financial Economics.
Economics/Management Science, general.
Quantitative Finance.
Finance /Banking.
Applications of Mathematics.
Business Taxation.

HG1-9999

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