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Theory of financial risk and derivat...
~
Potters, Marc, (1969-.)
Theory of financial risk and derivative pricing : = from statistical physics to risk management /
Record Type:
Language materials, printed : Monograph/item
Title/Author:
Theory of financial risk and derivative pricing :/ Jean-Philippe Bouchaud and Marc Potters.
Reminder of title:
from statistical physics to risk management /
Author:
Bouchaud, Jean-Philippe,
other author:
Potters, Marc,
Published:
Cambridge, U.K. ;Cambridge University Press, : 2003.,
Description:
xx, 379 p. :ill. ; : 26 cm.;
Notes:
First paperback edition 2009.
Subject:
Finance. -
ISBN:
0521741866 (Pbk.)
Theory of financial risk and derivative pricing : = from statistical physics to risk management /
Bouchaud, Jean-Philippe,1962-.
Theory of financial risk and derivative pricing :
from statistical physics to risk management /Jean-Philippe Bouchaud and Marc Potters. - 2nd ed. - Cambridge, U.K. ;Cambridge University Press,2003. - xx, 379 p. :ill. ;26 cm.
First paperback edition 2009.
Includes bibliographical references and indexes.
ISBN: 0521741866 (Pbk.)
LCCN: 2003044037Subjects--Topical Terms:
559073
Finance.
LC Class. No.: HG101 / .B68 2003
Dewey Class. No.: 658.15/5
Theory of financial risk and derivative pricing : = from statistical physics to risk management /
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from statistical physics to risk management /
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xx, 379 p. :
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ill. ;
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26 cm.
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First paperback edition 2009.
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Rev. ed. of: Theory of financial risks. 2000.
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Includes bibliographical references and indexes.
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Finance.
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1962-
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Theory of financial risks.
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773811
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