Stanislaus Maier-Paape

Rasta: 2
Scalar and Vector Risk in the General Framework of Portfolio Theory: A Convex Analysis Approach
-15% su kodu: ENG15
187,17 
220,20 
Išsiųsime per 11-15 d. d.
Scalar and Vector Risk in the General Framework of Portfolio Theory: A Convex Analysis Approach
-15% su kodu: ENG15
187,17 
220,20 
Išsiųsime per 11-15 d. d.
Rasta: 2