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Frontiers in quantitative finance: volatility and credit risk modeling
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Model sistem informasi monitoring permasalahan mahasiswa s1 perguruan tinggi – Laporan Akhir Penelitian
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Microsoft excel 2010: data analysis and business modeling
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Fourier transform methods in finance
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Introduction to structural equation modeling: course notes
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The libor market model in practice
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Hybrid random fields: a scalable approach to structure and parameter learning in probabilistic graphical models
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Credit risk modeling of middle markets
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