The average rating for Introduction to the Mathematics of Financie: From Risk Management to Options Pricing based on 2 reviews is 4 stars.
Review # 1 was written on 2020-01-15 00:00:00 Jason Bores Very useful introductory guide to the Bayesian method using such models as the title suggests in financial risk management. I recommend a solid foundation in Bayesian analysis before reading further into this book. |
Review # 2 was written on 2014-09-03 00:00:00 Nathalie King you know its a rehash of capra's turning point. not impressed. |
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