Metodologia Para Medir El Riesgo De Un Portafolio De Opciones | Desertcart OMAN
Metodología para medir el riesgo de un portafolio de opciones europeas: sobre índices utilizando valor en riesgo y simulación de Monte Carlo (Spanish Edition)
Product ID: 196550461
Secure Transaction
Frequently Bought Together
Description
Common Questions
Trustpilot
TrustScore 4.5 | 7,300+ reviews
Khalid Z.
Great experience from order to delivery. Highly recommended!
1 week ago
Ali H.
Fast shipping and excellent packaging. The Leatherman tool feels very premium and sturdy.