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Bayesian risk management : a guide to model risk and sequential learning in financial markets / Matt Sekerke

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    HG106
    .S45 2015
     
    993416 (Shelf),BOK
    Sekerke, Matt

         Bayesian risk management : a guide to model risk and sequential learning in financial markets. - Hoboken, New Jersey , 2015.

         xvi, 219 p. : ill. ; 24 cm The Wiley finance series.

         ISBN 9781118708606 (hbk.).
         
         1. Finance - Mathematical models 2. Financial risk management - Mathematical models 3. Bayesian statistical decision theory.I. Title II. Series
         Control No. : 10138
         Library : UiTM Shah Alam
    Accn No.Item StatusAdd IdLocationSMDItem Category
    993416ShelfPTAR KAMPUS PUNCAK ALAM(PPA)BOOKRAK TERBUKA (OPEN SHELVES)

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