Books on the topic 'Modèles à valeurs booléennes'
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Bouchaud, Jean-Philippe. Théorie des risques financiers: Portefeuilles, options et risques majeurs. Paris: Commissariat à l'énergie atomique, 1997.
Find full textSheshinski, Eytan. The economic theory of annuities. Princeton, N.J: Princeton University Press, 2008.
Find full textRebonato, Riccardo. Volatility and correlation in the pricing of equity, FX, and interest-rate options. Chichester, England: John Wiley, 1999.
Find full textBalkema, Guus. High Risk Scenarios and Extremes: A geometric approach. Zuerich, Switzerland: European Mathematical Society Publishing House, 2007.
Find full textFaux modèles: Chroniques des valeurs égorgées. Abidjan: Nouvelles Éditions Balafons, 2015.
Find full textRoley, V. Vance. Structural Model of the U. S. Government Securities Market. Taylor & Francis Group, 2018.
Find full textStructural Model of the U. S. Government Securities Market. Taylor & Francis Group, 2018.
Find full textManterola, Jean-Jacques. Le social à l'épreuve des valeurs, d'un pays Basque à l'autre. Maison des Sciences de l'Homme d'Aquitaine, 2020. http://dx.doi.org/10.46608/primaluna5.9782858926183.
Full textMilano, Federico, Ioannis Dassios, Muyang Liu, and Georgios Tzounas. Eigenvalue Problems in Power Systems. Taylor & Francis Group, 2020.
Find full textEigenvalue Problems in Power Systems. Taylor & Francis Group, 2020.
Find full textEigenvalue Problems in Power Systems. Taylor & Francis Group, 2023.
Find full textMilano, Federico, Ioannis Dassios, Muyang Liu, and Georgios Tzounas. Eigenvalue Problems in Power Systems. Taylor & Francis Group, 2020.
Find full textMilano, Federico, Ioannis Dassios, Muyang Liu, and Georgios Tzounas. Eigenvalue Problems in Power Systems. Taylor & Francis Group, 2020.
Find full textMartellini, Lionel, Philippe Priaulet, and Stéphane Priaulet. Fixed-Income Securities: Valuation, Risk Management and Portfolio Strategies (The Wiley Finance Series). Wiley, 2003.
Find full textEigenvalues of inhomogeneous structures: Unusual closed-form solutions. Boca Raton, Fla: CRC Press, 2005.
Find full textElishakoff, Isaac. Eigenvalues of Inhomogeneous Structures: Unusual Closed-Form Solutions. CRC, 2004.
Find full textSheshinski, Eytan. Economic Theory of Annuities. Princeton University Press, 2021.
Find full textThe Economic Theory of Annuities. Princeton University Press, 2007.
Find full textEquity-Linked Life Insurance: Partial Hedging Methods. Taylor & Francis Group, 2017.
Find full textExtreme value methods with applications to finance. Boca Raton, FL: CRC Press, 2012.
Find full textNovak, Serguei Y. Extreme Value Methods with Applications to Finance. Taylor & Francis Group, 2011.
Find full textMelnikov, Alexander, and Amir Nosrati. Equity-Linked Life Insurance: Partial Hedging Methods. Taylor & Francis Group, 2017.
Find full textMelnikov, Alexander, and Amir Nosrati. Equity-Linked Life Insurance: Partial Hedging Methods. Taylor & Francis Group, 2017.
Find full textMelnikov, A. V., and Amir Nosrati. Equity-Linked Life Insurance. Taylor & Francis Group, 2020.
Find full textNovak, Serguei Y. Extreme Value Methods with Applications to Finance. Taylor & Francis Group, 2011.
Find full textMelnikov, Alexander, and Amir Nosrati. Equity-Linked Life Insurance: Partial Hedging Methods. Taylor & Francis Group, 2017.
Find full textMelnikov, Alexander, and Amir Nosrati. Equity-Linked Life Insurance: Partial Hedging Methods. Taylor & Francis Group, 2017.
Find full textYan, Jun, and Dipak Dey. Extreme Value Modeling and Risk Analysis. Taylor & Francis Group, 2020.
Find full textDey, Dipak K., and Jun Yan. Extreme Value Modeling and Risk Analysis: Methods and Applications. Taylor & Francis Group, 2016.
Find full textDey, Dipak K., and Jun Yan. Extreme Value Modeling and Risk Analysis: Methods and Applications. Taylor & Francis Group, 2016.
Find full textExtreme Value Modeling and Risk Analysis: Methods and Applications. Taylor & Francis Group, 2016.
Find full textQuantitative financial economics: Stocks, bonds and foreign exchange. Chichester: Wiley, 1996.
Find full textStochastic finance: An introduction with market examples. Boca Raton: Taylor & Francis, 2014.
Find full textPrivault, Nicolas. Stochastic Finance: An Introduction with Market Examples. Taylor & Francis Group, 2013.
Find full textPrivault, Nicolas. Stochastic Finance: An Introduction with Market Examples. Taylor & Francis Group, 2013.
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