mdh.sePublications
Change search
CiteExportLink to record
Permanent link

Direct link
Cite
Citation style
  • apa
  • ieee
  • modern-language-association-8th-edition
  • vancouver
  • Other style
More styles
Language
  • de-DE
  • en-GB
  • en-US
  • fi-FI
  • nn-NO
  • nn-NB
  • sv-SE
  • Other locale
More languages
Output format
  • html
  • text
  • asciidoc
  • rtf
Analytical Finance: Volume I: The Mathematics of Equity Derivatives, Markets, Risk and Valuation
Mälardalen University, School of Education, Culture and Communication, Educational Sciences and Mathematics. (MAM)
2017 (English)Book (Refereed)
Place, publisher, year, edition, pages
Cham, Schweiz: Springer International Publishing , 2017, 1. , XXVII, 492 p.
National Category
Probability Theory and Statistics
Research subject
Mathematics/Applied Mathematics
Identifiers
URN: urn:nbn:se:mdh:diva-34915DOI: 10.1007/978-3-319-34027-2ISBN: 978-3-319-34027-2 (electronic)ISBN: 978-3-319-34026-5 (print)OAI: oai:DiVA.org:mdh-34915DiVA: diva2:1075565
Available from: 2017-02-20 Created: 2017-02-20 Last updated: 2017-09-28Bibliographically approved

Open Access in DiVA

No full text

Other links

Publisher's full texthttp://link.springer.com/book/10.1007%2F978-3-319-34027-2

Search in DiVA

By author/editor
Röman, Jan
By organisation
Educational Sciences and Mathematics
Probability Theory and Statistics

Search outside of DiVA

GoogleGoogle Scholar

doi
isbn
urn-nbn

Altmetric score

doi
isbn
urn-nbn
Total: 27 hits
CiteExportLink to record
Permanent link

Direct link
Cite
Citation style
  • apa
  • ieee
  • modern-language-association-8th-edition
  • vancouver
  • Other style
More styles
Language
  • de-DE
  • en-GB
  • en-US
  • fi-FI
  • nn-NO
  • nn-NB
  • sv-SE
  • Other locale
More languages
Output format
  • html
  • text
  • asciidoc
  • rtf