000692817 000__ 01661nam\a2200457\i\4500 000692817 001__ 692817 000692817 003__ MiAaPQ 000692817 005__ 20211103003606.0 000692817 006__ m\\\\\o\\d\\\\\\\\ 000692817 007__ cr\cn\nnnunnun 000692817 008__ 130712s2013\\\\nju\\\\\ob\\\\001\0\eng\d 000692817 020__ $$z9781118750292 000692817 020__ $$a9781118757550$$q(electronic bk.) 000692817 035__ $$a(MiAaPQ)EBC1580439 000692817 035__ $$a(Au-PeEL)EBL1580439 000692817 035__ $$a(CaPaEBR)ebr10822324 000692817 035__ $$a(CaONFJC)MIL552042 000692817 035__ $$a(OCoLC)865537216 000692817 040__ $$aMiAaPQ$$beng$$erda$$epn$$cMiAaPQ$$dMiAaPQ 000692817 050_4 $$aHD61$$b.M537 2013 000692817 0820_ $$a332.01/5195$$223 000692817 1001_ $$aMiller, Michael B.$$q(Michael Bernard),$$d1973- 000692817 24510 $$aMathematics and statistics for financial risk management /$$cMichael B. Miller. 000692817 250__ $$aSecond edition. 000692817 264_1 $$aHoboken :$$bWiley,$$c2013. 000692817 300__ $$a1 online resource (333 pages) 000692817 336__ $$atext$$2rdacontent 000692817 337__ $$acomputer$$2rdamedia 000692817 338__ $$aonline resource$$2rdacarrier 000692817 4900_ $$aWiley finance series 000692817 504__ $$aIncludes bibliographical references and index. 000692817 506__ $$aAccess limited to authorized users. 000692817 588__ $$aDescription based on online resource; title from PDF title page (ebrary, viewed January 15, 2013). 000692817 650_0 $$aRisk management$$xMathematical models. 000692817 650_0 $$aRisk management$$xStatistical methods. 000692817 655_0 $$aElectronic books 000692817 852__ $$bebk 000692817 85640 $$3ProQuest Ebook Central Academic Complete $$uhttps://univsouthin.idm.oclc.org/login?url=https://ebookcentral.proquest.com/lib/usiricelib-ebooks/detail.action?docID=1580439$$zOnline Access 000692817 909CO $$ooai:library.usi.edu:692817$$pGLOBAL_SET 000692817 980__ $$aBIB 000692817 980__ $$aEBOOK 000692817 982__ $$aEbook 000692817 983__ $$aOnline