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Matematicas financieras : la gestion del riesgo de interes / Jose Manuel Brotons Martinez.

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Format:
Book
Author/Creator:
Brotons Martinez, Jose Manuel, author.
Language:
Spanish
Subjects (All):
Business mathematics.
Finance--Mathematical models.
Finance.
Physical Description:
1 online resource (53 pages)
Edition:
1st ed.
Place of Publication:
Madrid, Spain : Universidad Miguel Hernandez, [2014]
Summary:
Es objetivo del presente el manejo de la información de los mercados financieros de renta fija. En particular nos proponemos como objetivo la exposición de la metodología básica para la estimación de la estructura temporal de tipos de interés.
Notes:
Description based on print version record.
Other Format:
Print version: Brotons Martínez, José Manuel Matemáticas Financieras: la Gestión Del Riesgo de Interés
ISBN:
9788496297944
OCLC:
1356002315

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