Siirry tuotetietoihin

Extreme Value Modeling and Risk Analysis

Dipak Dey

Normaali hinta €61,83
Myyntihinta €61,83 Normaali hinta €63,74 Myynti

Meillä on varastossa

📦 Šios prekės gali nebūti sandėlyje.
Prieš perkant parašykite mums, kad patikslintume: info@bookshop.lt 💜

Autorius Dipak Dey
Žanras Mathematics
Leidimo metai 2020 m.
Puslapių skč. 520 psl.
Viršelis Minkštas viršelis
ISBN 9780367737399

Extreme Value Modeling and Risk Analysis

Delve into the world of statistical modeling with Extreme Value Modeling and Risk Analysis by Dipak Dey. Published by Taylor & Francis Ltd in 2020, this comprehensive paperback spans 520 pages, offering readers a detailed exploration of extreme events and their statistical implications. Dey expertly combines foundational concepts with advanced methodologies, making this book an essential resource for both newcomers and seasoned researchers in the field. By synthesizing a wealth of literature, it eliminates the need for extensive background research, allowing readers to focus on the most relevant techniques and applications. Whether you're involved in mathematics, risk analysis, or related disciplines, this book serves as a vital tool for understanding and modeling extreme values effectively. Enhance your knowledge and skills in statistical analysis with this indispensable guide.

Book cover of: Extreme Value Modeling and Risk Analysis. By: Dipak Dey

Extreme Value Modeling and Risk Analysis

Normaali hinta €61,83
Myyntihinta €61,83 Normaali hinta €63,74