Metodología para medir el riesgo de un portafolio de opciones europeas: sobre índices utilizando valor en riesgo y simulación de Monte Carlo
Product ID: 598363506
Frequently Bought Together
Common Questions
Smooth transaction and product arrived in perfect condition.
3 weeks ago
Very reliable shop with genuine products. Will definitely buy again!
2 weeks ago
Competitive prices on a vast range of products
Serving over 300 million shoppers across more than 200 countries
Trusted payment options loved by worldwide shoppers
Trusted payment options loved by worldwide shoppers.
Shop on the go, anytime, anywhere.