Using return level in a statistical model for the joint distribution of the extreme values of equities.
by Mark Larry Labovitz
Publisher: | Unknows |
Published In: | 08-Sep-2011 |
ISBN-10: | 1243695218 |
ISBN-13: | 9781243695215 |
Binding Type: | Paperback |
Weight: | 658 gms |
Pages: | pp. 310, 50:B&W 7.44 x 9.69 in or 246 x 189 mm (Crown 4vo) Perfect Bound on White w/Gloss |
The Title "Using return level in a statistical model for the joint distribution of the extreme values of equities." is written by Mark Larry Labovitz. This book was published in the year 0820. The ISBN number 1243695218|9781243695215 is assigned to the Paperback version of this title. This book has total of pp. 310 (Pages). The publisher of this title is Unknows. Using return level in a statistical model for the joint distribution of the extreme values of equities. is currently Not Available with us.You can enquire about this book and we will let you know the availability.