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Machine Learning for Financial Risk Management with Python

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The Professional Risk Managers' Guide to Financial Markets
75 折
出版日:2007/12/21 作者:Carol Alexander (EDT); Elizabeth Sheedy (EDT)  出版社:Mcgraw-Hill; Inc.  裝訂:精裝
In order for risk managers to succeed in today's complex financial landscape, they need a solid understanding of the world's major financial markets, the roles these markets play in the international
優惠:Mcgraw-Hill 書展 優惠價: 75 2493
庫存:1
Valuation and Risk Management in Energy Markets
75 折
出版日:2014/02/28 作者:Glen Swindle  出版社:Cambridge Univ Pr  裝訂:精裝
Valuation and Risk Management in Energy Markets surveys the mechanics of energy markets and the valuation of structures commonly arising in practice. The presentation balances quantitative issues and practicalities facing portfolio managers, with substantial attention paid to the ways in which common methods fail in practice and to alternative methods when they exist. The material spans basic fundamentals of markets, statistical analysis of price dynamics, and a sequence of increasingly challenging structures, concluding with issues arising at the enterprise level. In totality, the material has been selected to provide readers with the analytical foundation required to function in modern energy trading and risk management groups.
優惠:Cambridge 書展 優惠價: 75 5216
庫存:1
The Handbook of Convertible Bonds ─ Pricing, Strategies and Risk Management
66 折
出版日:2011/02/04 作者:Wim Schoutens; Jan De Spiegeleer  出版社:John Wiley & Sons Inc  裝訂:精裝
This is a complete guide to the pricing and risk management of convertible bond portfolios. Convertible bonds can be complex because they have both equity and debt like features and new
優惠:挖寶專區-原文書 優惠價: 66 3385
庫存:1
Risk Management And Financial Institutions, Sixth Edition
90 折
出版日:2023/01/25 作者:John C. Hull  出版社:John Wiley & Sons Inc  裝訂:精裝
RISK MANAGEMENT AND FINANCIAL INSTITUTIONS THE GOLD STANDARD IN FINANCIAL RISK MANAGEMENT TEXTBOOKS In the newly revised sixth edition of Risk Management and Financial Institutions, celebrated risk and derivatives expert John C. Hull delivers an incisive and comprehensive discussion of financial risk and financial institution regulation. In the book, you’ll learn to understand the financial markets, the risks they pose to various kinds of financial institutions, and how those risks are affected by common regulatory structures.This book blends discussion of best practices in risk management with holistic treatments of how financial institutions are regulated. It explores market, credit, liquidity, model, climate, cyber, and operational risk. This latest edition also offers: Updated ancillary and digital materials covering all the latest content, including software, practice questions, and teaching supplementsAccess to an updated website that reflects the new contentFulsome coverage of t
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出版日:2021/01/25 作者:Joseph Mining  出版社:Lightning Source Inc  裝訂:精裝
The world of machine learning is changing all the time. It is so amazing the idea that we are able to take a computer and let it learn as it goes. Without having to write out all of the codes that we need for every situation out there or every input that the user may pick, we are able to write out codes in machine learning, even with Python, in order to let the computer or device learn and make decisions on its own.This guidebook is going to take a closer look at how Python machine learning is able to work, as well as how you can use some of the tools and techniques that come with this process for your own needs. When you are interested in learning more about what machine learning is all about, as well as how you can use a part of the coding from Python inside of this process, then this guidebook is the tool for you Some of the topics that we will explore when we go through this guidebook will include: Understanding some of the basics of machine learning;Some of the different parts tha
Financial Enterprise Risk Management
90 折
出版日:2017/07/31 作者:Paul Sweeting  出版社:Cambridge Univ Pr  裝訂:精裝
This comprehensive, yet accessible, guide to enterprise risk management for financial institutions contains all the tools needed to build and maintain an ERM framework. It discusses the internal and external contexts with which risk management must be carried out, and it covers a range of qualitative and quantitative techniques that can be used to identify, model and measure risks. This new edition has been thoroughly updated to reflect new legislation and the creation of the Financial Conduct Authority and the Prudential Regulation Authority. It includes new content on Bayesian networks, expanded coverage of Basel III, a revised treatment of operational risk and a fully revised index. Over 100 diagrams are used to illustrate the range of approaches available, and risk management issues are highlighted with numerous case studies. This book also forms part of the core reading for the UK actuarial profession's specialist technical examination in enterprise risk management, ST9.
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Data Science and Analytics With Python
75 折
出版日:2017/05/16 作者:Jesus Rogel-salazar  出版社:Chapman & Hall  裝訂:精裝
Data Science and Analytics with Python is designed for practitioners in data science and data analytics in both academic and business environments. The aim is to present the reader with the main conce
優惠:Taylor and Francis 書展 優惠價: 75 4950
庫存:1
Risk Management And Financial Institutions, Fifth Edition
90 折
出版日:2018/03/23 作者:Hull  出版社:John Wiley & Sons Inc  裝訂:精裝
The most complete, up-to-date guide to risk management in finance Risk Management and Financial Institutions explains all aspects of financial risk and financial institution regulation, helping reader
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Financial Institutions Management ─ A Risk Management Approach
90 折
出版日:2017/02/09 作者:Anthony Saunders; Marcia Cornett  出版社:McGraw-Hill College  裝訂:精裝
Saunders and Cornett's Financial Institutions Management: A Risk Management Approach provides an innovative approach that focuses on managing return and risk in modern financial institutions. The cent
若需訂購本書,請電洽客服 02-25006600[分機130、131]。
Advanced Financial Risk Management ─ Tools and Techniques for Integrated Credit Risk and Interest Rate Risk Management
90 折
出版日:2013/02/22 作者:Van Deventer  出版社:JOHN WILEY & SONS;LTD  裝訂:精裝
Advanced Financial Risk Management bridges the gap between the idealized assumptions used for risk valuation and the realities that must be reflected in management actions. It explains, in detailed ye
若需訂購本書,請電洽客服 02-25006600[分機130、131]。
Python for Bioinformatics
75 折
出版日:2017/08/11 作者:Sebastian Bassi  出版社:Chapman & Hall  裝訂:精裝
Programming knowledge is often necessary for finding a solution to a biological problem. Based on the author’s extensive experience, Python for Bioinformatics helps scientists solve their biological p
優惠:Taylor and Francis 書展 優惠價: 75 7875
庫存:1
三民袖珍英漢辭典(最新增訂版)
滿額折
出版日:2011/07/01 作者:謝國平; 張寶燕-主編; 三民書局編輯委員會-增訂  出版社:三民書局  裝訂:精裝
「與時俱進」的選字原則 ---- 讓您輕鬆掌握英語,走在時代尖端! ■ 最新詞彙:蒐羅時下熱門的新鮮用語,並精挑英美各大辭典出版社評選出的年度風雲字(Word of the Year)加以收錄﹐如staycation (宅渡假)﹐bailout (紓困)﹐LOHAS (樂活)﹐leetspeak (火星文)﹐flash mob (快閃族)﹐Financial Tsunami (金融海嘯)等最新流行
優惠價: 85 298
庫存:2
Rethinking Risk in National Security ― Lessons of the Financial Crisis for Risk Management
90 折
出版日:2016/05/25 作者:Michael J. Mazarr  出版社:Palgrave Macmillan  裝訂:精裝
This book examines the role of risk management in the recent financial crisis and applies lessons from there to the national security realm. It rethinks the way risk contributes to strategy, with insi
若需訂購本書,請電洽客服 02-25006600[分機130、131]。
Managing Uncertainty, Mitigating Risk ― Tackling the Unknown in Financial Risk Assessment and Decision Making
90 折
出版日:2015/12/09 作者:Nikan B. Firoozye; Fauziah Ariff  出版社:Palgrave Macmillan  裝訂:精裝
Risk management as a discipline is evolving, evolving to deal with fat tails, evolving to deal with macro-economic drivers and basic forms of nonlinearity. And yet, financial risk management remains l
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Model Risk in Financial Markets ― From Financial Engineering to Risk Management
滿額折
出版日:2015/09/13 作者:Radu Tunaru  出版社:World Scientific Pub Co Inc  裝訂:精裝
The financial systems in most developed countries today build up a large amount of model risk on a daily basis. However, this is not particularly visible as the financial risk management agenda is sti
優惠價: 9 4345
無庫存
Quantitative Financial Risk Management: Theory And Practice
90 折
出版日:2015/05/08 作者:Zopounidis  出版社:John Wiley & Sons Inc  裝訂:精裝
A Comprehensive Guide to Quantitative Financial Risk ManagementWritten by an international team of experts in the field, Quantitative Financial Risk Management: Theory and Practice p
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A Risk Professional'S Survival Guide: Applied Best Practices In Risk Management
90 折
出版日:2014/10/24 作者:Rossi  出版社:John Wiley & Sons Inc  裝訂:精裝
Balanced, practical risk management for post – financial crisis institutionsFundamentals of Risk Management fills a critical gap left by existing risk management texts. Instead of focusing only on qua
若需訂購本書,請電洽客服 02-25006600[分機130、131]。
Handbook of Financial Data and Risk Information
90 折
出版日:2014/02/28 作者:Margarita S. Brose  出版社:Cambridge Univ Pr  裝訂:精裝
Risk has always been central to finance, and managing risk depends critically on information. As evidenced by recent events, the need has never been greater for skills, systems and methodologies to manage risk information in financial markets. Authored by leading figures in risk management and analysis, this handbook serves as a unique and comprehensive reference for the technical, operational, regulatory and political issues in collecting, measuring and managing financial data. It will appeal to a wide range of audiences, from financial industry practitioners and regulators responsible for implementing risk management systems, to system integrators and software firms helping to improve such systems. Volume 1 examines the business and regulatory context that makes risk information so important. Volume 2 describes a structural and operational framework for managing a financial risk data repository.
若需訂購本書,請電洽客服 02-25006600[分機130、131]。
The Essentials of Risk Management
90 折
出版日:2013/12/17 作者:Michel Crouhy; Dan Galai; Robert Mark  出版社:McGraw-Hill  裝訂:精裝
"The definitive guide to quantifying risk vs. return--fully updated to reveal the newest, most effective innovations in financial risk management since the 2008 financial crisisWritten for risk profes
優惠價: 9 1881
無庫存
Financial Risk Management, Second Edition + Website: A Practitioner'S Guide To Managing Market And Credit Risk
90 折
出版日:2012/12/14 作者:Allen  出版社:John Wiley & Sons Inc  裝訂:精裝
A top risk management practitioner addresses the essential aspects of modern financial risk managementIn the Second Edition of Financial Risk Management + Website, market risk expert Steve Allen offer
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Machine Learning for Financial Engineering
滿額折
出版日:2012/05/17 作者:Laszlo Gyorfi; Gyorgy Ottucsak; Harro Walk  出版社:World Scientific Pub Co Inc  裝訂:精裝
This volume investigates algorithmic methods based on machine learning in order to design sequential investment strategies for financial markets. Such sequential investment strategies use information
優惠價: 9 2907
無庫存
Risk Management for Central Banks and Other Public Investors
90 折
出版日:2009/02/09 作者:Ulrich Bindseil  出版社:Cambridge Univ Pr  裝訂:精裝
Domestic and foreign financial assets of all central banks and public wealth funds worldwide are estimated to have reached more than 12 trillion US dollars in 2007. How do these institutions manage such unprecedented growth in their financial assets and how have they responded to the 'revolution' of risk management techniques during the last two decades? This book surveys the fundamental issues and techniques associated with risk management and shows how central banks and other public investors can create better risk management systems. Each chapter looks at a specific area of risk management, first presenting general problems and then showing how these materialize in the special case of public institutions. Written by a team of risk management experts from the European Central Bank, this much-needed survey is an ideal resource for those concerned with the increasingly important task of managing risk in central banks and other financial institutions.
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Risk Management Technology in Financial Services: Risk Control, Stress Testing, Models, and IT Systems and Structures
95 折
出版日:2007/07/23 作者:Dimitris N. Chorafas  出版社:Butterworth-Heinemann  裝訂:精裝
Written for professionals in financial services with responsibility for IT and risk management, Dimitris Chorafas surveys the methodology required and IT systems and structures to support it according
優惠價: 95 3509
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Dictionary Of Financial Risk Management, Third Edition
滿額折
出版日:1999/11/01 作者:Gastineau  出版社:John Wiley & Sons Inc  裝訂:精裝
Gary Gastineau and Mark Kritzman team up once again for the third edition of this classic reference tool designed for financial analysts and managers. Anyone involved in financial risk management must
優惠價: 9 1982
無庫存
Spelling Machine - On Holiday
滿額折
出版日:2023/10/01 作者:Sarah Wade  出版社:Scholastic  裝訂:精裝
Learning to spell really can be fun, especially when you have an amazing Spelling Machine, a 2-book series for preschoolers ages 4-6 to learn spelling and start to read. Within each scene there are five objects to find and learn to spell. Flip out your magical spelling machine contained inside the book, dial in the letters of each word and lift the flap to check your answer!※無音檔英文學習遊戲書有了spelling machine的神奇轉盤,拼單字,也可以變得超級有趣!全新包裝,內容再升級知名親子叢書作家廖彩杏推薦:“ Spelling Machine:Make Spelling Fun!”是一本寓教於樂的遊戲書,讓孩子從小小的拼字遊戲,得到樂趣。本套書以「度假」為主題,分6大場景,共收錄30個常用英文單字。在不同場景,小朋友要先動手動眼,找一找不同物件在哪裡?並學會認識這些物件的英文,學會認字後,用前方的轉盤練習拼字。剛開始認字、學習自然發音的小讀者,都能從遊戲中開心學習! 【玩法說明】1.第一步,先把紅圈順時針轉到「start」處。2.假設今天要讓孩子熟悉crab的拼法,就先大聲念出crab,讓孩子聽聽看,這個單字,是由哪些字母所組成的。3.現在要拼出crab,就把第一個字母c,順時針轉到start處。4.再把第二個字母r,撥到start處,接下來的字母以此類推。5.最後.恭喜,完成了!請孩子打開翻頁機關確認答案,看到「crab」了嗎? 是不是好像變魔術一樣,好神奇呢?拼字,也可以這麼有趣!
優惠:外文書周末優惠-單79雙75 優惠價: 79 331
庫存 > 10
Learning Kindness My Feelings Sticker Book
滿額折
出版日:2023/02/14 出版社:HIGHLIGHTS PR  裝訂:精裝
Perfect for children ages 3-6 who are learning about their feelings, Learning Kindness My Feelings Sticker Book features over 50 reusable, vinyl-cling stickers, a dry-erase marker, and tons of fun activities to help kids explore their emotions.This engaging activity book is packed with puzzles and exercises that teach kids how to understand emotions in themselves and others. Kids can use the stickers with the guided activities to identify and express their feelings, recognize facial expressions and body language, and learn how to regulate their emotions. This book is an excellent tool for parents and educators to deepen conversations with children around social and emotional thinking.
優惠:外文書周末優惠-單79雙75 優惠價: 79 451
庫存:1
Busy Little Hands: Science Play: Learning Activities for Preschoolers
滿額折
出版日:2022/12/20 作者:Susan Edwards Richmond  出版社:Storey Books  裝訂:精裝
Preschoolers are introduced to core science concepts with this playful format featuring 20 hands-on activities that use everyday household materials, including a vinegar volcano, a hula hoop count, and a kitchen sink or swim experiment. In this fourth book in the Busy Little Hands series, preschoolers get ready for a science adventure! Preschoolers wonder and explore with 20 hands-on experiments using everyday household objects and making daily activities such as snack time and play time into learning opportunities. Each play activity demonstrates a simple principle of physics, earth science, chemistry, or biology, including the Kitchen Sink or Float (demonstrating density), the Vinegar Volcano (pressure) and Blooming Colors (chromatography). Featuring bright, easy-to-follow photos specially designed for pre-readers, this book is packed with learning fun, plus it sets the groundwork for science success in kindergarten and beyond.
優惠:外文書周末優惠-單79雙75 優惠價: 79 391
庫存:4
Management Across Cultures ― Developing Global Competencies(Third Edition)
75 折
出版日:2016/09/30 作者:Richard M. Steers; Luciara Nardon; Carlos J. Sanchez-Runde  出版社:Cambridge Univ Pr  裝訂:精裝
在全球化已成日常的工作環境中,管理者必須具備跨文化理解與行動能力。本書第三版以「所有管理者都是全球管理者」為前提,重新梳理跨文化管理的理論與實踐。作者不僅介紹主要文化模型,也深入探討領導、溝通與倫理在不同文化脈絡中的差異與調適方式。更新後的內容更貼近現實職場,透過真實案例與具體策略,協助讀者面對國際指派、跨國團隊與多元勞動力的挑戰。語言清楚、結構明確,是學生建立基礎視野、也是專業人士精進能力的重要讀本。The third edition of this popular textbook has been thoroughly expanded and updated throughout to explore the latest approaches to cross-cultural management, presenting strategies and tactics for managing international assignments and global teams. With a clear emphasis on learning and development, this new edition introduces a global management model, along with enhanced 'Applications' and 'Manager's Notebooks', to encourage students to acquire skills in multicultural competence that will be highly valued by their future employers. These skills have never been more important, in a world where, increasingly, all managers are global managers and where management practices and processes can differ significantly across national and regional boundaries. This textbook is suitable for student
優惠:匯讀中外曬書展 優惠價: 75 4500
庫存:1
出版日:2016/05/03 作者:American College of Sports Medicine  出版社:Human Kinetics  裝訂:精裝
From the American College of Sports Medicine (ACSM) and specialists from around the world, this 32-chapter guide outlines a framework for exercise management for people with chronic diseases and disab
優惠價: 1 5880
庫存:1
Big Data Analytics Beyond Hadoop ─ Real-Time Applications With Storm, Spark, and More Hadoop Alternatives
75 折
出版日:2014/05/23 作者:Vijay Agneeswaran  出版社:Prentice Hall  裝訂:精裝
Master alternative Big Data technologies that can do what Hadoop can't: real-time analytics and iterative machine learning. When most technical professionals think of Big Data analytics today, th
優惠:外文好書 優惠價: 75 2624
庫存:1
Introduction to Mathematical Portfolio Theory
75 折
出版日:2013/08/31 作者:Mark S. Joshi  出版社:Cambridge Univ Pr  裝訂:精裝
In this concise yet comprehensive guide to the mathematics of modern portfolio theory the authors discuss mean-variance analysis, factor models, utility theory, stochastic dominance, very long term investing, the capital asset pricing model, risk measures including VAR, coherence, market efficiency, rationality and the modelling of actuarial liabilities. Each topic is clearly explained with assumptions, mathematics, limitations, problems and solutions presented in turn. Joshi's trademark style of clarity and practicality is here brought to classical financial mathematics. The book is suitable for mathematically trained students in actuarial studies, business and economics as well as mathematics and finance, and it can be used for both self-study and as a course text. The authors' experience as both academics and practitioners brings clarity and relevance to the book, whilst ensuring that the limitations of models are highlighted.
優惠:Cambridge 書展 優惠價: 75 2534
庫存:1
Machine Learning from Weak Supervision
79 折
出版日:2022/08/23 作者:Masashi Sugiyama  出版社:Mit Pr  裝訂:精裝
Fundamental theory and practical algorithms of weakly supervised classification, emphasizing an approach based on empirical risk minimization.Standard machine learning techniques require large amounts of labeled data to work well. When we apply machine learning to problems in the physical world, however, it is extremely difficult to collect such quantities of labeled data. This book presents theory and algorithms for weakly supervised learning, a paradigm of machine learning from weakly labeled data. Emphasizing an approach based on empirical risk minimization and drawing on state-of-the-art research in weakly supervised learning, the book provides both the fundamentals of the field and the advanced mathematical theories underlying them. It can be used as a reference for practitioners and researchers and in the classroom.The book first mathematically formulates classification problems, defines common notations, and reviews various algorithms for supervised binary and multiclass classif
優惠:外文書周末優惠-單79雙75 優惠價: 79 1952
無庫存
Nonlinear Valuation and Non-Gaussian Risks in Finance
90 折
出版日:2022/01/31 作者:Dilip B. Madan  出版社:Cambridge Univ Pr  裝訂:精裝
What happens to risk as the economic horizon goes to zero and risk is seen as an exposure to a change in state that may occur instantaneously at any time? All activities that have been undertaken statically at a fixed finite horizon can now be reconsidered dynamically at a zero time horizon, with arrival rates at the core of the modeling. This book, aimed at practitioners and researchers in financial risk, delivers the theoretical framework and various applications of the newly established dynamic conic finance theory. The result is a nonlinear non-Gaussian valuation framework for risk management in finance. Risk-free assets disappear and low risk portfolios must pay for their risk reduction with negative expected returns. Hedges may be constructed to enhance value by exploiting risk interactions. Dynamic trading mechanisms are synthesized by machine learning algorithms. Optimal exposures are designed for option positioning simultaneously across all strikes and maturities.
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Operational Risk Management - Best Practices In The Financial Services Industry
滿額折
出版日:2018/12/14 作者:Chapelle  出版社:John Wiley & Sons Inc  裝訂:精裝
Operational Risk Management: Best Practices in the Financial Services Industry provides a comprehensive overview of the most up to date methods and practices in operational risk management applied in
優惠價: 9 2610
無庫存
Active Risk Management ― Financial Models and Statistical Methods
90 折
出版日:2016/09/16 作者:Tze Leung Lai; Haipeng Xing  出版社:CRC Press UK  裝訂:精裝
Following the recent financial crisis, risk management in financial institutions, particularly in banks, has attracted widespread attention and discussion. Novel modeling approaches and courses to edu
若需訂購本書,請電洽客服 02-25006600[分機130、131]。
Python for Probability, Statistics, and Machine Learning
90 折
出版日:2016/03/29 作者:Jose Unpingco  出版社:Springer Verlag  裝訂:精裝
This book covers the key ideas that link probability, statistics, and machine learning illustrated using Python modules in these areas. The entire text, including all the figures and n
若需訂購本書,請電洽客服 02-25006600[分機130、131]。
Handbook of Financial Data and Risk Information ─ Software and Data
90 折
出版日:2014/02/28 作者:Margarita S. Brose  出版社:Cambridge Univ Pr  裝訂:精裝
Risk has always been central to finance, and managing risk depends critically on information. As evidenced by recent events, the need has never been greater for skills, systems and methodologies to manage risk information in financial markets. Authored by leading figures in risk management and analysis, this handbook serves as a unique and comprehensive reference for the technical, operational, regulatory and political issues in collecting, measuring and managing financial data. It is targeted towards a wide range of audiences, from financial industry practitioners and regulators responsible for implementing risk management systems, to system integrators and software firms helping to improve such systems. Volume 2 describes a structural and operational framework for managing a financial risk data repository. As experience accumulates on managing modern risk systems, the knowledge base of practical lessons grows. Understanding these issues and leading practices may mean the difference b
若需訂購本書,請電洽客服 02-25006600[分機130、131]。
Machine Learning and Knowledge Discovery for Engineering Systems Health Management
90 折
出版日:2011/11/17 作者:Edited by Ashok N. Srivastava and Jiawei Han  出版社:Chapman & Hall  裝訂:精裝
Machine Learning and Knowledge Discovery for Engineering Systems Health Management presents state-of-the-art tools and techniques for automatically detecting, diagnosing, and predicting the effects of
若需訂購本書,請電洽客服 02-25006600[分機130、131]。
Financial Enterprise Risk Management
90 折
出版日:2011/10/17 作者:Paul Sweeting  出版社:Cambridge University Press  裝訂:精裝
"Financial Enterprise Risk Management provides all the tools needed to build and maintain a comprehensive ERM framework. As well as outlining the construction of such frameworks, it discusses the inte
若需訂購本書,請電洽客服 02-25006600[分機130、131]。
Financial Risk Forecasting - The Theory And Practice Of Forecasting Market Risk With Implementation In R And Matlab
滿額折
出版日:2011/03/25 作者:Danielsson  出版社:John Wiley & Sons Inc  裝訂:精裝
Financial Risk Forecasting is a complete introduction to practical quantitative risk management, with a focus on market risk. Derived from the authors teaching notes and years spent training practitio
優惠價: 9 3010
無庫存
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