Description: Theory of Financial Risks: From Statistical Physics to Risk Management - Jean-Philippe Bouchaud and Marc Potters Fast Free Shipping!!
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Book Title: Theory of Financial Risks: From Statistical Physics to Risk Manag
Item Length: 10 in
Item Height: 0.9 in
Item Width: 7.1 in
Author: Marc Potter`s, Jean-Philippe Bouchaud
Publication Name: Theory of Financial Risks : from Statistical Physics to Risk Management
Format: Hardcover
Language: English
Subject: Methodology, Finance / Financial Engineering, Finance / General, Decision-Making & Problem Solving, Statistics
Publisher: Cambridge University Press
Publication Year: 2000
Type: Textbook
Subject Area: Business & Economics, Social Science
Item Weight: 21.8 Oz
Number of Pages: 232 Pages