QUANTITATIVE FINANCIAL RISK MANAGEMENT THEORY AND PRACTICE
CONSTANTIN ZOPOUNIDIS EMILIOS GALARIOTIS2015 年出版428 页ISBN:1118738184
Indoor Wireless Communications From Theory To Implementation
Alejandro Aragon-Zavala2015 年出版416 页ISBN:0470741160
CONTRACT THEORY IN CONTINUOUS-TIME MODELS
JAKSA CVITANIC JIANFENG ZHANG2013 年出版255 页ISBN:9783642141997
FUZZY RELATIONAL CALCULUS THEORY,APPLICATIONS AND SOFTWARE
KETTY PEEVA & YORDAN KYOSEV2004 年出版291 页ISBN:9812560769
Non-Hausdorff topology and domain theory
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Information and exponential families in statistical theory
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CURRICULUM AND INSTRUCTIONAL METHODS FOR THE ELEMENTARY AND MIDDLE SCHOOL THIRD EDITION
JOHANNA KASIN LEMLECH2222 年出版439 页ISBN:0023697423
INTERNATIONAL FINANCIAL INSTITUTIONS AND THEIR CHALLENGES A GLOBAL GUIDE FOR FUTURE METHODS
FELIX I.LESSAMBO2015 年出版261 页ISBN:9781137522696
DATA-DRIVEN MODELING & SCIENTIFIC COMPUTATION METHODS FOR COMPLEX SYSTEMS & BIG DATA
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INTRODUCTION TO STATISTICAL METHODS FOR BIOSURVEILLANCE WITH AN EMPHASIS ON SYNDROMIC SURVEILLANCE
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