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Katarína Čulková,Andrea Rosová,Michal Cehlár,Samer Khouri sciences. This book provides a self-contained introduction to the parametric modeling, exploratory analysis and statistical interference for extreme values..The entire text of this third edition has been thoroughly updated and rearranged to meet the new requirements. Additional sections and chapter

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B. Hamerníková,V. Fábera,V. Beneš,M. Jetmar,M. Jeřábek,J. Kubát,J. Pančík,M. Plačekoaches to Financial Data.The present book is a valuable cont.The statistical analysis of extreme data is important for various disciplines, including hydrology, insurance, finance, engineering and environmental sciences. This book provides a self-contained introduction to the parametric modeling, ex

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Stella Hrehová sciences. This book provides a self-contained introduction to the parametric modeling, exploratory analysis and statistical interference for extreme values..The entire text of this third edition has been thoroughly updated and rearranged to meet the new requirements. Additional sections and chapter

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Jozef Husár,Stella Hrehová,Patrik Kaščákole in quantitative finance. Nevertheless, its mathematical theory and inferential results are important enough to compel us to present them, even if the conclusions drawn from its use in practical financial applications are not always earth-shattering. As in earlier chapters, we choose particular d

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Michal Jerabek,Jan Kubat,Vit Faberaole in quantitative finance. Nevertheless, its mathematical theory and inferential results are important enough to compel us to present them, even if the conclusions drawn from its use in practical financial applications are not always earth-shattering. As in earlier chapters, we choose particular d

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Marek Kliment,Peter Trebuňa,Miriam Pekarčíkováole in quantitative finance. Nevertheless, its mathematical theory and inferential results are important enough to compel us to present them, even if the conclusions drawn from its use in practical financial applications are not always earth-shattering. As in earlier chapters, we choose particular d

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Katarína Krajníková,Jana Smetanková,Peter Mésároš,Marcel Behún. This textbook fills this gap by addressing some of the most challenging issues facing financial engineers. It shows how sophisticated mathematics and modern statistical techniques can be used in the solutions of concrete financial problems. Concerns of risk management are addressed by the study of
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查看完整版本: Titlebook: New Approaches in Management of Smart Manufacturing Systems; Knowledge and Practi Lucia Knapcikova,Michal Balog,Marko Periša Book 2020 Spri