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Theory of financial risk and derivative pricing : from statistical physics to risk management / Jean-Philippe Bouchaud and Marc Potters

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    HG101
    .B68 2003
     
    592280 (Shelf),BOK
    Bouchaud, Jean-Philippe , 1962-

         Theory of financial risk and derivative pricing : from statistical physics to risk management. - Cambridge, UK , 2003.

         xx, 379 p. : ill. ; 26 cm.
         Rev. ed. of: Theory of financial risks. 2000.

         ISBN 0521819164 (hard).
         
         1. Finance 2. Risk assessment 3. Risk management 4. Financial engineering.I. Potters, Marc - 1969- II. Bouchaud , Jean-Philippe - 1962- III. Title
         Library : UiTM Shah Alam
    Accn No.Item StatusAdd IdLocationSMDItem Category
    592280ShelfPERPUSTAKAAN TUN ABDUL RAZAK(P1)BOOKRAK TERBUKA (OPEN SHELVES)

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