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Portfolio Theory and Arbitrage: A Course in Mathematical Finance (Graduate Studies in Mathematics, 214) (English, Paperback, Ioannis Karatzas, Cons...

by Ioannis Karatzas, Constantinos Kardaras

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Book Details

Author
Ioannis Karatzas, Constantinos Kardaras
Publisher
Amer Mathematical Society
Language
English
Pages
309 pages
ISBN-10
1470460149
ISBN-13
9781470460143
Publication Year
2022

About the Book

"The pdf contains a draft title page, draft copyright page and a draft manuscript"--

Why You Should Read This Book

  • Written by acclaimed authors Ioannis Karatzas, Constantinos Kardaras
  • Published by Amer Mathematical Society (2022)
  • 309 pages of comprehensive content
  • Available in English language
  • Ideal for students, professionals, and avid readers

Product Details

This edition of Portfolio Theory and Arbitrage: A Course in Mathematical Finance (Graduate Studies in Mathematics, 214) is published by Amer Mathematical Society and was first released in 2022. The book contains 309 pages packed with valuable information. It is available in multiple formats including Paperback and Hardcover editions, making it convenient for all types of readers.

Who Is This Book For?

Whether you are a student, a professional looking to expand your knowledge, or simply someone who loves reading, Portfolio Theory and Arbitrage: A Course in Mathematical Finance (Graduate Studies in Mathematics, 214) by Ioannis Karatzas, Constantinos Kardaras is an excellent choice. Order your copy today from BookBajar and enjoy free shipping with Cash on Delivery option available across India.

ISBN-13: 9781470460143
ISBN-10: 1470460149

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Product ID: isbn-9781470460143