Financial Risk Management with Bayesian Estimation of GARCH girro 2014年2月18日 12 阅读 0 评论 金融、投资 Financial Risk Management with Bayesian Estimation of GARCH by: David Ardia Print length: 206 Publication date: 2008-07-01 ISBN-10: 3540786562 ISBN-13: 9783540786566 代发服务PDF电子书10元立即求助
Rethink Economics and Business Models for Sustainability: Sustainable Leadership based on the Nordic Model 2024年10月26日
IT (Information Technology) Portfolio Management Step-by-Step: Unlocking the Business Value of Technology 2020年4月26日