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  1. fat-tailed and skewed asset return distributions

  2. The theory and practice of finance draws heavily on probability theory. All MBA programs prepare finance majors for their career in the profession by requiring one generalist course in probability theory and statistics attended by all business major
  3. 所属分类:硬件开发

    • 发布日期:2010-03-19
    • 文件大小:10485760
    • 提供者:dentalfloss