We can't find the internet
Attempting to reconnect
Something went wrong
Hang in there while we get back on track
£57.69
Wiley The Mathematics of Money Management: Risk Analysis Techniques for Traders: 18 (Wiley Finance)
Price data checked 1 day ago
We'll watch every seller, every day. One email when your price arrives.
This is the usual price. Wait for it to drop, or tell us your number.
£58 today · usual range £54–£58 · best ever £54
NEW HERE?
Amazon shows you one price. We show you all of them.
Tosheroon watches Amazon prices so you don't have to. Every product on Amazon has a price history — we make it visible. Set the price you'd actually pay, and we'll email you the second it gets there. No app, no account, one email.
WHAT'S ON THIS PAGE
when this has been cheap or pricey
where the price is heading next
all-time high & low, recent range
name your number, we'll email you
Price History & Forecast
Grey patches = out of stock. Cheaper = lower on the chart. Hover for exact prices.
Last 90 days · 90 data points
Price Distribution
Price distribution over 90 days • 2 price levels
Price Analysis
Most common price: £54 (46 days, 51.1%)
Price range: £54 - £58
Price levels: 2 different prices over 90 days
Description
Product Specifications
- Brand
- Wiley
- Format
- hardcover
- ASIN
- 0471547387
- Domain
- Amazon UK
- Release Date
- 04 June 1992
- Listed Since
- 09 February 2007
Barcode
No barcode data available
Similar Products You Might Like
Quantitative Portfolio Optimisation, Asset Allocation and Risk Management: A Practical Guide to Implementing Quantitative Investment Theory (Finance and Capital Markets Series)
MACMILLAN
Portfolio Optimization and Performance Analysis (Chapman and Hall/CRC Financial Mathematics Series)
CRC Press
Quantitative Portfolio Optimisation, Asset Allocation and Risk Management: A Practical Guide to Implementing Quantitative Investment Theory (Finance and Capital Markets Series)
MACMILLAN
Security Analysis, Portfolio Management, and Financial Derivatives
World Scientific Publishing Company
Marchés financiers - 6e éd - Gestion de portefeuille et des risques: Gestion de portefeuille et des risques
DUNOD
Multi-Asset Risk Modeling: Techniques for a Global Economy in an Electronic and Algorithmic Trading Era
Academic Press
Financial Economics, Risk And Information (2nd Edition)
World Scientific Publishing Company
Investment Theory and Risk Management: 711 (Wiley Finance)
Wiley
Portfolio Theory and Risk Management (Mastering Mathematical Finance)
Cambridge University Press
Postmodern Portfolio Theory: Navigating Abnormal Markets and Investor Behavior (Quantitative Perspectives on Behavioral Economics and Finance)
MACMILLAN
Applied Probabilistic Calculus for Financial Engineering: An Introduction Using R
Wiley
Market Tremors: Quantifying Structural Risks in Modern Financial Markets
MACMILLAN
Financial Signal Processing and Machine Learning (IEEE Press)
Wiley
Lectures On The Theory And Application Of Modern Finance With R And Chatgpt: 10 (World Scientific Lecture Notes in Finance)
World Scientific Publishing Company
Portfolio Theory and Arbitrage: A Course in Mathematical Finance (Graduate Studies in Mathematics)
Global Portfolio Diversification: Risk Management, Market Microstructure, and Implementation Issues (Economic Theory, Econometrics, and Mathematical Economics)
Academic Press
Handbook Of The Fundamentals Of Financial Decision Making (In 2 Parts): 4 (World Scientific Handbook in Financial Economics Series)
World Scientific Publishing Company
Handbook of the Fundamentals of Financial Decision Making: In 2 Parts (World Scientific Handbook in Financial Economics) (World Scientific Handbook in Financial Economics Series): 4
World Scientific Publishing Company
Optimal Mean Reversion Trading: Mathematical Analysis And Practical Applications
Quantitative Portfolio Optimization: Advanced Techniques and Applications (Wiley Finance)
Wiley
Machine Learning and Data Sciences for Financial Markets: A Guide to Contemporary Practices
Cambridge University Press
Quantitative Financial Risk Management: Theory and Practice (Frank J. Fabozzi Series)
Wiley
Risk and Portfolio Analysis: Principles and Methods (Springer Series in Operations Research and Financial Engineering)
Springer
Market Practice in Financial Modelling
World Scientific Publishing Company