Description: Soft cover. Heavier general wear. Scuffs, scrapes, rubbing, pressure marks to the covers, bends and creases. There is edge and corner wear with nicks, tears, paper separation, abrasions. Spine lean. Bends and creases at page corners, curling. Aging, smudges and stains to the page edges.Shipping is media rate, in a box, with USPS tracking. I will ship to your confirmed address.
Price: 24.95 USD
Location: Austin, Texas
End Time: 2024-11-30T13:13:34.000Z
Shipping Cost: 0 USD
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Item Specifics
Restocking Fee: No
Return shipping will be paid by: Buyer
All returns accepted: Returns Accepted
Item must be returned within: 30 Days
Refund will be given as: Money Back
Subject Area: Mathematics, Business & Economics
Publication Name: Regression Modeling with Actuarial and Financial Applications
Publisher: Cambridge University Press
Item Length: 9.8 in
Subject: Probability & Statistics / Regression Analysis, Finance / General, Statistics, Insurance / General
Publication Year: 2009
Series: International Series on Actuarial Science Ser.
Type: Textbook
Format: Trade Paperback
Language: English
Item Height: 1.2 in
Personalized: No
Author: Edward W. Frees
Country/Region of Manufacture: United States
Item Weight: 33.5 Oz
Item Width: 6.9 in
Number of Pages: 565 Pages