
Mathematics And Statistics For Financial Risk Management by Michael B. Miller
MathematicsWhat Mathematics And Statistics For Financial Risk Management by Michael B. Miller is worth on the used-book market.
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Item details
- UPC / EAN
- 9781118244197
- Brand
- Michael B. Miller
- Author
- Michael B. Miller
- Published
- 2012
- Publisher
- Wiley & Sons, Limited, John
- Pages
- 336
- ISBN
- 9781118244197
- Editions
- 10
Mathematics And Statistics For Financial Risk Management resale value
Mathematics And Statistics For Financial Risk Management by Michael B. Miller (2012). Across 10 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.
Frequently asked questions
- Is this 2012 edition still relevant for financial risk management?
- As a foundational text, the concepts in this 2012 edition remain relevant for studying financial risk management.
- What is the ISBN for this textbook?
- The ISBN for this book is 9781118244197.
- How many pages does this Mathematics book contain?
- This specific edition contains 336 pages.