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Keith parramore this new book explores, from first principles, the mathematical and statistical techniques relevant to modern financial instruments and markets. An accessible treatment of the essential mathematics of financial instruments and markets. Calculate the range, variance, standard deviation and coefficient of variation for the following sample of data. Quantitative methods for finance by parramore, keith, watsham, terry j. See our admissions policy pdf file 544 kb and complaints policy pdf file 127.
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