- Format
- Bog, paperback
- Engelsk
- 421 sider
- Indgår i serie
Normalpris
kr. 799,95
Medlemspris
kr. 739,95
- Du sparer kr. 60,00
- Fri fragt
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Leveringstid: 8-11 Hverdage (Sendes fra fjernlager) Forventet levering: 03-03-2026
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Beskrivelse
This book covers in a leisurely manner all the standard material that one would want in a full year probability course with a slant towards applications in financial analysis at the graduate or senior undergraduate honors level. It contains a fair amount of measure theory and real analysis built in but it introduces sigma-fields, measure theory, and expectation in an especially elementary and intuitive way. A large variety of examples and exercises in each chapter enrich the presentation in the text.
Detaljer
- SprogEngelsk
- Sidetal421
- Udgivelsesdato31-01-2012
- ISBN139781470473877
- Forlag American Mathematical Society
- FormatPaperback
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