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Cover image for Risk-return analysis Volume I : the theory and practice of rational investing
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Cover image for Portfolio management under stress : a Bayesian-net approach to coherent asset allocation
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Cover image for Investment valuation : tools and techniques for determining the value of any asset
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Cover image for An elementary introduction to mathematical finance
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Cover image for Stochastic financial models
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Cover image for GARCH models : structure, statistical inference, and financial applications
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Cover image for Risk finance and asset pricing : value, measurements, and markets
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Cover image for Elementary calculus of financial mathematics
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Cover image for Introduction to stochastic calculus applied to finance
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Cover image for Real options and investment incentives
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