Description: Probability for Finance (Mastering Mathematical Finance) ISBN : 9780521175579 Title : Probability for Finance (Mastering Mathematical Finance) Authors : Binding : paperback Publisher : Cambridge University Press Publication Date : Nov 21 2013 Condition : New Ships in a BOX from Central Missouri! UPS shipping for most packages, (Priority Mail for AK/HI/APO/PO Boxes). Payment We accept PayPal for all eBay orders. Please see payment details below. We will only ship to the address that is entered into PayPal when payment is made! Shipping Multiple shipping options are available for this item. For more detail, please see below, and select the shipping option that is most convenient for you. Returns We have a 30 day return policy. The return must be postmarked within 30 days of the delivery date. Once the item has been returned, we will initiate an item-only refund (shipping costs are non-refundable). We do not provide return labels for general returns.
Price: 28.37 USD
Location: Columbia, Missouri
End Time: 2024-12-01T01:17:11.000Z
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Restocking Fee: No
Return shipping will be paid by: Buyer
All returns accepted: Returns Accepted
Item must be returned within: 30 Days
Refund will be given as: Money Back
Book Title: Probability for Finance (Mastering Mathematical Finance)
Number of Pages: 196 Pages
Language: English
Publication Name: Probability for Finance
Publisher: Cambridge University Press
Subject: Probability & Statistics / General, Finance / General, Statistics
Item Height: 0.5 in
Publication Year: 2013
Item Weight: 10.6 Oz
Type: Textbook
Subject Area: Mathematics, Business & Economics
Author: Tomasz Zastawniak, Jan Malczak, Ekkehard Kopp
Item Length: 9 in
Series: Mastering Mathematical Finance Ser.
Item Width: 6 in
Format: Trade Paperback