Theory of financial risk and derivative pricing From statistical physics to risk management.
Bouchaud Jean-Philippe
Theory of financial risk and derivative pricing From statistical physics to risk management. - Cambridge Cambridge University Press 2003 - xx,379p cm.
44553
Textual
X652, P3
Theory of financial risk and derivative pricing From statistical physics to risk management. - Cambridge Cambridge University Press 2003 - xx,379p cm.
44553
Textual
X652, P3
