Theory of financial risks : from statistical physics to risk management / Jean-Philippe Bouchaud and Marc Potters
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| | | | Theory of financial risks : from statistical physics to risk management. - United Kingdom , 2000 (2001 printing). | xiii, 218 p. : ill. ; 24 cm. | Includes index. | ISBN 0521782325. | | 1. Financial engineering 2. Risk assessment 3. Finance 4. Risk management.I. Potters, Marc,1969- II. Title | | Library : UiTM Shah Alam |
| Accn No. | Item Status | Add Id | Location | SMD | Item Category | 489944 | Shelf | | PERPUSTAKAAN PENGURUSAN & PERNIAGAAN TAR(P2) | BOOK | RAK TERBUKA (OPEN SHELVES) | 506493 | Shelf | | PERPUSTAKAAN SAINS DAN TEKNOLOGI TAR(P4) | BOOK | RAK TERBUKA (OPEN SHELVES) | 541053 | Shelf | | PERPUSTAKAAN SAINS DAN TEKNOLOGI TAR(P4) | BOOK | RAK TERBUKA (OPEN SHELVES) | 541054 | Shelf | | PERPUSTAKAAN SAINS DAN TEKNOLOGI TAR(P4) | BOOK | RAK TERBUKA (OPEN SHELVES) |
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