Stochastic Modelling of Big Data in Finance (Hardcover)


Features Self-contained book suitable for graduate students and post-doctoral fellows in financial mathematics and data science, as well as for practitioners working in the financial industry who deal with big data All results are presented visually to aid in understanding of concepts.

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Product Description

Features Self-contained book suitable for graduate students and post-doctoral fellows in financial mathematics and data science, as well as for practitioners working in the financial industry who deal with big data All results are presented visually to aid in understanding of concepts.

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Product Details

General

Imprint

Taylor & Francis

Country of origin

United Kingdom

Series

Chapman and Hall/CRC Financial Mathematics Series

Release date

November 2022

Availability

Expected to ship within 9 - 15 working days

First published

2023

Authors

Dimensions

234 x 156 x 21mm (L x W x T)

Format

Hardcover

Pages

280

ISBN-13

978-1-03-220926-5

Barcode

9781032209265

Categories

LSN

1-03-220926-7



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