Theory of financial risks : from statistical physics to risk management
Bouchaud, Jean-Philippe
Theory of financial risks : from statistical physics to risk management - - Cambridge Cambridge University Press, 2000 - xiii,218 p. 25 cm - .
0-521-78232-522
Financial management
Statistical physics
Risk management
658.15 Bou
Theory of financial risks : from statistical physics to risk management - - Cambridge Cambridge University Press, 2000 - xiii,218 p. 25 cm - .
0-521-78232-522
Financial management
Statistical physics
Risk management
658.15 Bou