Description: payment | shipping rates | returns Mathematics and Statistics for Financial Risk Management Product Category : Books ISBN : 9781118750292 Title : Mathematics and Statistics for Financial Risk Management Binding : hardcover Publisher : Wiley Publication Date : 12/20/2013 12:00:01 Pages : 336 Signed : False First Edition : False Dust Jacket : False List Price (MSRP) : 105.00 Height : 0.9055 inches Width : 7.3622 inches Length : 10.2756 inches Weight : 1.4991 pounds Condition : Good About hpb-red Selling quality books and media since 1972. Customer service is our top priority! Payment We accept several payment types. They are shown above. Shipping Please click the "Shipping and Payments" tab above for details. Returns Your satisfaction is very important to us. Please contact us via the methods available within eBay regarding any problems before leaving negative feedback. You have 60 days from purchase to request a refund. © 2024 hpb-red
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Book Title: Mathematics and Statistics for Financial Risk Management
Number of Pages: 336 Pages
Language: English
Publication Name: Mathematics and Statistics for Financial Risk Management
Publisher: Wiley & Sons, Incorporated, John
Item Height: 1.3 in
Publication Year: 2013
Subject: Finance / General, Decision-Making & Problem Solving
Type: Textbook
Item Weight: 26.5 Oz
Subject Area: Business & Economics
Author: Michael B. Miller
Item Length: 10.2 in
Item Width: 7.3 in
Series: Wiley Finance Ser.
Format: Hardcover