Free Probability and Random Matrix Theory for Large Portfolios : Spectral Methods, Covariance Estimation, and High-Dimensional Risk Modeling

Vincent Bisette

ISBN 13: 9798193070979
Published by Amazon Digital Services LLC - Kdp Aug 2026, 2026
Language: English
Condition: New Soft cover

Sold by AHA-BUCH GmbH, Einbeck, Germany

AbeBooks Seller since August 14, 2006

Seller rating 5 out of 5 stars 5-star rating, Learn more about seller ratings

View this seller's items


New - Soft cover

Condition: New

Price:
US$ 55.13
US$ 39.38 shipping
Ships from Germany to U.S.A.

Quantity: 2 available

Add to basket