000 00654 a2200289 4500
001 82002
020 _a0-521-78232-522
041 _aeng
080 _a658.15 Bou
245 _aTheory of financial risks : from statistical physics to risk management
250 _a
260 _aCambridge
260 _bCambridge University Press,
260 _c2000
300 _axiii,218 p.
300 _c25 cm
490 _a
100 _aBouchaud, Jean-Philippe
700 _aPotters, Marc
700 _a
650 _a
650 _aFinancial management
650 _aStatistical physics
650 _aRisk management
942 _cBK
942 _2UDC
999 _c114361
_d114361