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Textbook
Mathematics and Statistics for Financial Risk ManagementISBN: 978-1-118-17062-5
Hardcover
291 pages
March 2012, ©2012
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Michael B. Miller studied economics at the American University of Paris and the University of Oxford before starting a career in finance. He has worked in risk management for more than ten years, most recently as the chief risk officer for a hedge fund in New York City.
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