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標題および責任表示
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Modelling financial derivatives with Mathematica : mathematical models and benchmark algorithms / William T. Shaw
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出版・頒布事項
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Cambridge : Cambridge University Press , 1998
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形態事項
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xi, 537 p. : ill. ; 26 cm + 1 CD-ROM
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巻号情報
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注記
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Includes bibliographical references and index
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注記
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CD-ROM "Mathematica notebooks of modelling financial derivatives with mathematica" in pocket
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注記
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System requirement:Windows '95, Windows NT 4.0 on IBM compatible computers and on Macintosh computers running System 7 or later.
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学情ID
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BA39088160
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本文言語コード
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英語
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著者標目リンク
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Shaw, William T.
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分類標目
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経済学.経済思想 NDC9:331.19
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分類標目
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DC21:332.01135369
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件名標目等
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Mathematica (...Computer program...)
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件名標目等
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Finance -- Mathematical models -- Data processing
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