Modeling risk: applying Monte Carlo simulation, real options analysis, forecasting and optimization techniques.
Yazar: | MUN, Johnathan |
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Materyal Türü: | Kitap |
Baskı/Yayın Bilgisi: |
Hoboken, NJ:
John Wiley & Sons,
2006.
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Seri Bilgileri: | Wiley Finance series)
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Konular: |
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