Mathematics And Statistics For Financial Risk Management

Mathematics And Statistics For Financial Risk Management by Michael B. Miller

Mathematics

What 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.