Probability for Finance

Research output: Book/ReportBook

Standard

Probability for Finance. / Zastawniak, Tomasz; Malczak, Jan; Kopp, Ekkehard.

Cambridge University Press, 2013. (Mastering Mathematical Finance Series).

Research output: Book/ReportBook

Harvard

Zastawniak, T, Malczak, J & Kopp, E 2013, Probability for Finance. Mastering Mathematical Finance Series, Cambridge University Press.

APA

Zastawniak, T., Malczak, J., & Kopp, E. (2013). Probability for Finance. (Mastering Mathematical Finance Series). Cambridge University Press.

Vancouver

Zastawniak T, Malczak J, Kopp E. Probability for Finance. Cambridge University Press, 2013. (Mastering Mathematical Finance Series).

Author

Zastawniak, Tomasz ; Malczak, Jan ; Kopp, Ekkehard. / Probability for Finance. Cambridge University Press, 2013. (Mastering Mathematical Finance Series).

Bibtex - Download

@book{75002b1f93c84ff8a45e7c9d2b931cfa,
title = "Probability for Finance",
author = "Tomasz Zastawniak and Jan Malczak and Ekkehard Kopp",
year = "2013",
language = "English",
isbn = "978-1-107-00249-4",
series = "Mastering Mathematical Finance Series",
publisher = "Cambridge University Press",
address = "United States",

}

RIS (suitable for import to EndNote) - Download

TY - BOOK

T1 - Probability for Finance

AU - Zastawniak, Tomasz

AU - Malczak, Jan

AU - Kopp, Ekkehard

PY - 2013

Y1 - 2013

M3 - Book

SN - 978-1-107-00249-4

SN - 978-0-521-17557-9

T3 - Mastering Mathematical Finance Series

BT - Probability for Finance

PB - Cambridge University Press

ER -