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Mathematics and Statistics for Financial Risk Management

Mathematics and Statistics for Financial Risk Management

Mathematics and Statistics for Financial Risk Management
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Mathematics and Statistics for Financial Risk Management

by Miller, Michael B

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Condition
UsedLikeNew
ISBN 10
1118750292
ISBN 13
9781118750292
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UsedLikeNew. Remainder mark

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Details

Bookseller
Phillybooks COM LLC US (US)
Bookseller's Inventory #
531ZZZ01YS9N_ns
Title
Mathematics and Statistics for Financial Risk Management
Author
Miller, Michael B
Book Condition
New
Quantity Available
1
Binding
Hardcover
ISBN 10
1118750292
ISBN 13
9781118750292
Publisher
Wiley
This edition first published
2013-12

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Phillybooks COM LLC

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About the Seller

Phillybooks COM LLC

Seller rating:
This seller has earned a 5 of 5 Stars rating from Biblio customers.
Biblio member since 2018
Bensalem, Pennsylvania

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Remainder Mark
Usually an ink marking of some sort which indicates that the book was designated a remainder. In most cases, it can be found on...
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