Gianin, E. R., & Sgarra, C. (2013). Mathematical Finance: Theory Review and Exercises: From Binomial Model to Risk Measures. Springer International Publishing : Imprint: Springer.
Παραπομπή σε μορφή Chicago (17η εκδ.)Gianin, Emanuela Rosazza, και Carlo Sgarra. Mathematical Finance: Theory Review and Exercises: From Binomial Model to Risk Measures. Cham: Springer International Publishing : Imprint: Springer, 2013.
Παραπομπή σε μορφή MLA (8th εκδ.)Gianin, Emanuela Rosazza, και Carlo Sgarra. Mathematical Finance: Theory Review and Exercises: From Binomial Model to Risk Measures. Springer International Publishing : Imprint: Springer, 2013.
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