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Add to basketPaperback. Condition: Good. No Jacket. Former library book; Pages can have notes/highlighting. Spine may show signs of wear. ~ ThriftBooks: Read More, Spend Less 0.92.
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Add to basketCondition: Sehr gut. Zustand: Sehr gut | Seiten: 260 | Produktart: Sonstiges.
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Add to basketPaperback. Condition: Very Good. . . . . 8vo, paperback. Vg condition. Covers protected by previous owner with clear laminate tape. Contents clean, no marking or writing. Binding square and tight. 250 pp. Advanced, Algebra, Algebraic, Calculus, Higher, Mathematics, Statistics, 354066419X.
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Condition: New. pp. 268 Illus.
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Add to basketPaperback. Condition: Good. Textbook, May Have Highlights, Notes and/or Underlining, BOOK ONLYNO ACCESS CODE, NO CD, Ships with Emailed Tracking.
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Add to basketCondition: New. pp. 268 2nd Corrected Printing.
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Add to basketPaperback. Condition: Good. First Edition. > Edition/Printing: First edition | Shelf wear, corner and edge wear. Soiling. Pencil markings and writing FEP through page 13. Year 1999. 250 pages.
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Published by Springer Berlin Heidelberg, 2002
ISBN 10: 3540438718 ISBN 13: 9783540438717
Language: English
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Add to basketKartoniert / Broschiert. Condition: New. In the words of one reviewer: Normally graduate students need two books, one on measure theory and one on probability theory. This book contains (most of) the essentials of both fields and students can go on directly to Oksendal s book on SDE theory. I wou.
Published by Springer (edition 2012), 2011
ISBN 10: 3642241263 ISBN 13: 9783642241260
Language: English
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Add to basketHardcover. Condition: Very Good. 2012. Ship within 24hrs. Satisfaction 100% guaranteed. APO/FPO addresses supported.
Paperback. Condition: Brand New. 2nd sub edition. 254 pages. German language. 10.00x6.00x0.75 inches. In Stock.
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Published by Springer Berlin Heidelberg, 2011
ISBN 10: 3642241263 ISBN 13: 9783642241260
Language: English
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Add to basketGebundene Ausgabe. Condition: Sehr gut. Gebraucht - Sehr gut SG - leichte Beschädigungen oder Verschmutzungen, ungelesenes Mängelexemplar, gestempelt - In applications, and especially in mathematical finance, random time-dependent events are often modeled as stochastic processes. Assumptions are made about the structure of such processes, and serious researchers will want to justify those assumptions through the use of data. As statisticians are wont to say, 'In God we trust; all others must bring data.' This book establishes the theory of how to go about estimating not just scalar parameters about a proposed model, but also the underlying structure of the model itself. Classic statistical tools are used: the law of large numbers, and the central limit theorem. Researchers have recently developed creative and original methods to use these tools in sophisticated (but highly technical) ways to reveal new details about the underlying structure. For the first time in book form, the authors present these latest techniques, based on research from the last 10 years. They include new findings. This book will be of special interest to researchers, combining the theory of mathematical finance with its investigation using market data, and it will also prove to be useful in a broad range of applications, such as to mathematical biology, chemical engineering, and physics.
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Published by Springer Berlin Heidelberg, 2013
ISBN 10: 3642269508 ISBN 13: 9783642269509
Language: English
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Published by Springer Berlin Heidelberg, 2011
ISBN 10: 3642241263 ISBN 13: 9783642241260
Language: English
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Hardcover. Condition: Brand New. 2012 edition. 600 pages. 9.00x6.00x1.25 inches. In Stock.