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Title |
Author / Artist |
Prod Type |
ISBN/ISBN-13 or UPC |
Pub Date |
Price |
| ![](thumb.php?src=products/184/9781848212497.jpg&wmax=80&hmax=80) | Applied Diffusion Processes from Engineering to Finance | Janssen, Jacques | Hardcover | 1848212496 / 9781848212497 | 03/2013 | $205.15 |
| ![](thumb.php?src=products/144/9781441939920.jpg&wmax=80&hmax=80) | Applied Semi-Markov Processes | Janssen, Jacques | Paperback | 144193992X / 9781441939920 | 10/2010 | $123.49 |
| ![](thumb.php?src=products/038/9780387295473.jpg&wmax=80&hmax=80) | Applied Semi-Markov Processes | Janssen, Jacques | Hardcover | 038729547X / 9780387295473 | 11/2005 | $123.49 |
| ![](thumb.php?src=products/184/9781848218826.jpg&wmax=80&hmax=80) | Basic Stochastic Processes | Devolder, Pierre | Hardcover | 1848218826 / 9781848218826 | 08/2015 | $169.05 |
| ![](thumb.php?src=products/184/9781848210813.jpg&wmax=80&hmax=80) | Mathematical Finance: Deterministic and Stochastic Models | Janssen, Jacques | Hardcover | 1848210817 / 9781848210813 | 03/2009 | $318.20 |
| ![](thumb.php?src=products/038/9780387707297.jpg&wmax=80&hmax=80) | Semi-Markov Risk Models for Finance, Insurance and Reliability 2007 Edition | Janssen, Jacques | Hardcover | 0387707298 / 9780387707297 | 03/2007 | $104.49 |
| ![](thumb.php?src=products/144/9781441943576.jpg&wmax=80&hmax=80) | Semi-Markov Risk Models for Finance, Insurance and Reliability | Janssen, Jacques | Paperback | 1441943579 / 9781441943576 | 11/2010 | $104.49 |
| ![](thumb.php?src=products/184/9781848219007.jpg&wmax=80&hmax=80) | Stochastic Methods for Credit Risk | D'Amico, Guglielmo | Hardcover | 1848219008 / 9781848219007 | 05/2021 | $114.00 |
| ![](thumb.php?src=products/184/9781848218994.jpg&wmax=80&hmax=80) | Stochastic Methods for Insurance | Janssen, Jacques | Hardcover | 1848218990 / 9781848218994 | 03/2022 | $114.00 |
| ![](thumb.php?src=products/184/9781848212046.jpg&wmax=80&hmax=80) | Stochastic Methods for Pension Funds (Iste) | Devolder, Pierre | Hardcover | 1848212046 / 9781848212046 | 02/2012 | $205.15 |
| ![](thumb.php?src=products/184/9781848214644.jpg&wmax=80&hmax=80) | VaR Methodology for Non-Gaussian Finance (Focus in Finance, Business and Management) | Habart-Corlosquet, Marine | Hardcover | 1848214642 / 9781848214644 | 04/2013 | $169.05 |
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