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_a _z9781118757536 |
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_a332.015195 _bM647m 2014 |
100 | 1 |
_9247348 _aMiller, Michael B. _d1973-, _eautor |
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245 | 1 | 0 |
_aMathematics and statistics for financial risk management / _cMichael B. Miller. |
250 | _aSecond edition. | ||
264 | 3 | 1 |
_aHoboken, New Jersey : _bWiley, _c2014 |
300 |
_axiii, 317 páginas ; _c27 cm. |
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_atexto _btxt _2rdacontent |
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_ano mediado _bn _2rdamedia |
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490 | 0 | _aWiley finance series | |
504 | _aIncluye referencias bibliográficas e índice. | ||
650 | 1 | 4 |
_9140108 _aAdministración de riesgos _xModelos matemáticos. |
650 | 1 | 4 |
_981017 _aAdministración de riesgos. |
830 | 0 |
_9573336 _aWiley finance series. |
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_aCAIA _bNorma Elía Carranza Flores. _cOT16 |
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