Theory of financial risks : from statistical physics to risk management

By: Bouchaud, Jean-PhilippeContributor(s): Potters, Marc | Language: English Series: Publication details: Cambridge ; Cambridge University Press, ; 2000Edition: Description: xiii,218 p; 25 cmISBN: 0-521-78232-522Subject(s): | Financial management | Statistical physics | Risk management
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Holdings
Item type Current library Call number Status Notes Date due Barcode Item holds
Books Books Central Library, IITB
658.15 Bou Available G48A40 191034
Total holds: 0

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