书目信息 |
书名: | Martingale methods in financial modelling | |
作者: | Marek Musiela, Marek Rutkowski. | |
分册号: | ||
分册名: | 出版地: | 北京 : |
|
出版社: | 世界图书出版公司 | |
出版时间: | 2003. | |
页数: | xii, 518 p. ; | |
开本: | 24 cm. | |
丛书名: | Applications of mathematics | |
中图分类号: | ||
科图分类号: | ||
其他分类号: | H31:F83 | |
主题词: | ||
电子资源: |
000 | 02828nam a2201045 a 4500 | |
001 | 00000088663 | |
003 | CAL | |
005 | 20130516163745.09 | |
008 | 031029r20031997cc b 001 0 eng | |
020 | @a7506259443. | |
040 | @aXJT@cXJT@dNMU | |
050 | 14 | @aHG6024.A3@bM87 1997 |
082 | 04 | @a332/.01/5118@221 |
093 | @aF224@24 | |
093 | @aF83@24 | |
094 | @a29.795@23 | |
099 | @dH31:F83@e2 | |
100 | 1 | @aMusiela, Marek,@d1950-@0CAL n2005176444#@7ba0yba0y |
245 | 10 | @aMartingale methods in financial modelling / @cMarek Musiela, Marek Rutkowski. |
246 | 14 | @a金融建模中的鞅方法 |
260 | @a北京 :@b世界图书出版公司,@c2003. | |
300 | @axii, 518 p. ;@c24 cm. | |
440 | 0 | @aApplications of mathematics,@x0172-4568 ;@v36 |
500 | @a"Corrected second printing 1998" --T.P. verso. | |
504 | @aIncludes bibliographical references (p. [471]-512) and index. | |
534 | @pReprint. Originally Published:@cNew York : Springer, 1997.@z354061477X (Berlin : alk. paper) | |
650 | 0 | @aInterest rates@xMathematical models. |
650 | 0 | @aFixed-income securities@xMathematical models. |
650 | 0 | @aDerivative securities@xMathematical models. |
650 | 0 | @aOptions (Finance)@xMathematical models. |
650 | 0 | @aFinance@xMathematical models. |
700 | 1 | @aRutkowski, Marek,@d1952-@0CAL n2005211999#@7ba0yba0y |
905 | @a241250 | |
920 | @a242010@z1 | |
920 | @a261020@bF83@cM987@z1 | |
920 | @a232030@z2 | |
920 | @a211830@z1 | |
920 | @a215010@z1 | |
920 | @a231030@z1 | |
920 | @a211060@z1 | |
920 | @a234030@z1 | |
920 | @a231220@z2 | |
920 | @a251010@z2 | |
920 | @a212020@z1 | |
920 | @a211260@z2 | |
920 | @a222010@z1 | |
920 | @a211162@z1 | |
920 | @a231400@z1 | |
920 | @a211020@z2 | |
920 | @a235010@z2 | |
920 | @a231090@z2 | |
920 | @a244180@z2 | |
920 | @a211070@z1 | |
920 | @a246040@z1 | |
920 | 1 | @a221070@z1 |
920 | 1 | @a211050@z1 |
920 | 1 | @a211080@z1 |
920 | 1 | @a213298@z1 |
920 | 1 | @a221410@z1 |
920 | 1 | @a231060@z1 |
920 | 1 | @a244055@z1 |
920 | 1 | @a237040@z1 |
920 | 1 | @a223060@z1 |
920 | 1 | @a223010@z1 |
920 | 1 | @a242020@z1 |
920 | 1 | @a243130@z1 |
920 | 1 | @a242450@z1 |
920 | 1 | @a211090@z1 |
920 | 1 | @a235320@z1 |
920 | 1 | @a211010@z1 |
920 | 1 | @a237385@z1 |
920 | 1 | @a237010@z1 |
920 | 1 | @a221140@z1 |
920 | 1 | @aF44010@z1 |
920 | 1 | @a232130@z1 |
920 | 1 | @a221270@z1 |
920 | 1 | @a242140@z1 |
920 | 1 | @a243010@z1 |
920 | 1 | @a222020@z1 |
920 | 1 | @a213015@z1 |
920 | 1 | @a232181@z1 |
920 | 1 | @a233080@z1 |
920 | 1 | @a233120@z1 |
920 | 1 | @a233020@z1 |
920 | 1 | @a242351@z1 |
920 | @a245010@z2 | |
920 | @a231280@z2 | |
920 | @a232010@z2 | |
920 | @a241010@z2 | |
998 | @aXJT | |
Martingale methods in financial modelling / / Marek Musiela, Marek Rutkowski.-北京 : : 世界图书出版公司, , 2003. |
xii, 518 p. ; ; 24 cm.- (Applications of mathematics, 0172-4568 ; 36) |
"Corrected second printing 1998" --T.P. verso.-Includes bibliographical references (p. [471]-512) and index. |
ISBN 7506259443. |
● |
相关链接 |
正题名:Martingale methods in financial modelling
索取号:H31:F83/2
 
预约/预借
序号 | 登录号 | 条形码 | 馆藏地/架位号 | 状态 | 备注 |
1 | 542867 | 205428679 | 样本书库/4110830101/ [索取号:H31:F83/2] | 在馆 | |
2 | 542868 | 205428688 | 新区/ [索取号:H31:F83/2] | 在馆 | |
3 | 542869 | 205428697 | 新区/ [索取号:H31:F83/2] | 在馆 |