This book provides a systematic, self-sufficient and yet short
presentation of the mainstream topics on introductory Probability
Theory with some selected topics from Mathematical Statistics. It
is suitable for a 10- to 14-week course for second- or third-year
undergraduate students in Science, Mathematics, Statistics,
Finance, or Economics, who have completed some introductory course
in Calculus. There is a sufficient number of problems and solutions
to cover weekly tutorials.
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