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Modeling Financial Derivatives With Mathematica (Includes CD-ROM)
January 28, 1999, Cambridge University Press
Hardcover
in English
052159233X 9780521592338
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"When expressed in mathematical terms, the modelling of a derivative security amounts to understanding the behaviour of a function of several variables in considerable detail."
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- Created April 29, 2008
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December 19, 2023 | Edited by ImportBot | import existing book |
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April 29, 2008 | Created by an anonymous user | Imported from amazon.com record |