Theory of financial risks from statistical physics to risk management
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Format: | Unknown |
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United Kingdom
Cambridge Uni. Press
2000 (2001 printing)
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Online Access: | Click Here to View Status and Holdings. |
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001 | wils-212953 | ||
020 | # | # | |a 0521782325 |
090 | 0 | 0 | |a HG101 |b .B68 2000 |
100 | 1 | # | |a Bouchaud, Jean-Philippe |
245 | 1 | 1 | |a Theory of financial risks |b from statistical physics to risk management |c Jean-Philippe Bouchaud and Marc Potters |
260 | # | # | |a United Kingdom |b Cambridge Uni. Press |c 2000 (2001 printing) |
300 | # | # | |a xiii, 218 p. |b ill. |c 24 cm |
500 | # | # | |a Includes index |
650 | # | 0 | |a Financial engineering |
650 | # | 0 | |a Risk assessment |
650 | # | 0 | |a Finance |
650 | # | 0 | |a Risk management |
700 | 1 | # | |a Potters, Marc |c 1969- |
856 | 4 | 0 | |z Click Here to View Status and Holdings. |u https://opac.uitm.edu.my/opac/detailsPage/detailsHome.jsp?tid=212953 |
964 | # | # | |c BOK |d 01 |
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