
Introduction to Statistical Methods for Financial Models by Thomas A. Severini
MathematicsWhat Introduction to Statistical Methods for Financial Models by Thomas A. Severini is worth on the used-book market.
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Item details
- UPC / EAN
- 9781351981903
- Brand
- Thomas A. Severini
- Author
- Thomas A. Severini
- Published
- 2017
- Publisher
- Taylor & Francis Group
- Pages
- 370
- ISBN
- 9781351981903
- Editions
- 6
Introduction to Statistical Methods for Financial Models resale value
Introduction to Statistical Methods for Financial Models by Thomas A. Severini (2017). Across 6 editions. Used-book value depends heavily on edition (first printing vs. reprint), condition, dust jacket, and whether it's signed. First editions and out-of-print titles command the biggest premiums.
What drives the price
First editions/first printings, intact dust jackets, signatures, and unmarked pages are the top value drivers. Book-club editions and later reprints are worth far less.
Häufige Fragen
- Is the 6th edition of this textbook still relevant for finance studies?
- Yes, this 2017 edition by Thomas A. Severini covers essential statistical methods for financial models.
- What is the ISBN for this specific textbook?
- The ISBN for this book is 9781351981903.
- Who is the author of "Introduction to Statistical Methods for Financial Models"?
- The author is Thomas A. Severini, and it was published by Taylor & Francis Group.