Theory of financial risks : from statistical physics to risk management
Bibliographic Information
- Title
- "Theory of financial risks : from statistical physics to risk management"
- Statement of Responsibility
- Jean-Philippe Bouchaud and Marc Potters
- Publisher
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- Cambridge University Press
- Publication Year
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- 2000
- Book size
- 26 cm
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Notes
Includes bibliographical references and indexes
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Details 詳細情報について
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- CRID
- 1130000796523445632
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- NII Book ID
- BA79497777
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- ISBN
- 0521782325
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- LCCN
- 00020325
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- Web Site
- https://lccn.loc.gov/00020325
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- Text Lang
- en
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- Country Code
- uk
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- Title Language Code
- en
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- Place of Publication
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- Cambridge
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- Subject
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- LCSH: Finance
- LCSH: Financial engineering
- LCSH: Risk assessment
- LCSH: Risk management
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- Data Source
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- CiNii Books