共同时代 发表于 2025-3-30 09:26:18
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Book 2007ems of risk management in three main fields: Finance, Insurance and Reliability providing a useful complement to our first book (Janssen and Manca (2006)) which gives a theoretical presentation of semi-Markov theory. However, to help assure the book is self-contained, the first three chapters providarchenemy 发表于 2025-3-30 17:25:04
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