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LEADER: 01082cam a22002894a 4500
001 2004105112
003 DLC
005 20080808082700.0
008 040405s2004 gw a b 001 0 eng
010 $a 2004105112
020 $a3540216758
040 $aDLC$cDLC$dDLC
042 $apcc
050 00 $aHG176.5$b.F73 2004
082 00 $a332/.01/5195$222
100 1 $aFranke, Jürgen,$d1952-
245 10 $aStatistics of financial markets :$ban introduction /$cJürgen Franke, Wolfgang Härdle, Christian M. Hafner.
260 $aBerlin ;$aNew York, NY :$bSpringer-Verlag,$c2004.
300 $axxiii, 424 p. :$bill. ;$c24 cm.
490 0 $aUniversitext
504 $aIncludes bibliographical references (p. [405]-419) and index.
650 0 $aFinance$xStatistical methods.
650 0 $aFinance$xMathematical models.
700 1 $aHärdle, Wolfgang.
700 1 $aHafner, Christian.
856 42 $3Publisher description$uhttp://www.loc.gov/catdir/enhancements/fy0837/2004105112-d.html
856 41 $3Table of contents only$uhttp://www.loc.gov/catdir/enhancements/fy0837/2004105112-t.html