Kechiktirilganlar
Savat
Kirish
Mening kitoblarim
Математика управления капиталом: Методы анализа риска для трейдеров и портфельных менеджеров
Testing Statistical Assumptions in Research
Advances in Questionnaire Design, Development, Evaluation and Testing
Risk Assessment
Statistical Learning for Big Dependent Data
Bayesian Inference in the Social Sciences
Resilience
Optimal Resource Allocation
Multi-parametric Optimization and Control
Complex Analysis
IGA
i-Smooth Analysis
Advances in DEA Theory and Applications
Introduction to Differential Calculus
Large Strain Finite Element Method
Graphs and Networks
Convex Optimization
Matrix Differential Calculus with Applications in Statistics and Econometrics
Queueing Theory 1
Applied Numerical Methods Using MATLAB
Elementary Number Theory with Programming
Bayesian Methods for Management and Business
Algebra and Applications 2
Making Sense of AI