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Arjun K. Gupta delves deep into the realms of probability and statistical models, crafting a robust foundation particularly tailored for applications in reliability and financial mathematics. The text meticulously unpacks essential concepts, presenting them in a clear manner that guides readers through the intricacies of mathematical modeling.
Through a balanced blend of theory and practical application, the book addresses crucial topics that reinforce the understanding of uncertainty and risk management. Readers are invited to explore various techniques and models, equipping them with essential tools for tackling real-world problems across diverse fields, making it an invaluable resource for students and professionals alike.
Through a balanced blend of theory and practical application, the book addresses crucial topics that reinforce the understanding of uncertainty and risk management. Readers are invited to explore various techniques and models, equipping them with essential tools for tackling real-world problems across diverse fields, making it an invaluable resource for students and professionals alike.
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과학 & 기술
비즈니스 & 경제