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 |