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020 | _a9780415573047 | ||
041 | _aeng | ||
082 |
_a330.01 _bHAR |
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100 |
_aHarrison, Michael _9171710 |
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245 | _aMathematics for economics and finance | ||
260 |
_aLondon _bRoutledge _c2011 _g2011 |
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300 |
_axxiii,520 p. _bill. |
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650 | 0 |
_aECONOMETRY _9171711 |
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650 | _aECONOMICS | ||
650 | 0 |
_aEIGENVECTORS _9171712 |
|
650 | _aMATHEMATICAL MODELS | ||
650 | 0 |
_aMATHEMATICS FOR ECONOMICS _9171713 |
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650 | 0 |
_aPortfolio theory _9115167 |
|
650 | 0 |
_aPROBABILITY THEORY _9134456 |
|
700 |
_aWaldron, Patrick _9171714 |
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942 |
_cL _2ddc |
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999 |
_c124242 _d157044 |
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945 |
_dMain Library ADMIN _c26318 |