Theory of financial risks from statistical physics to risk management /
| Main Author: | Bouchaud, Jean-Philippe, 1962- |
|---|---|
| Corporate Author: | ProQuest (Firm) |
| Other Authors: | Potters, Marc, 1969- |
| Format: | Electronic eBook |
| Language: | English |
| Published: |
Cambridge [England] ; New York :
Cambridge University Press,
2000.
|
| Subjects: | |
| Online Access: | Click to View |
Similar Items
-
New directions for understanding systemic risk a report on a conference cosponsored by the Federal Reserve Bank of New York and the National Academy of Sciences /
Published: (2007) -
Emotions in finance booms, busts and uncertainty /
by: Pixley, Jocelyn, 1947-
Published: (2012) -
Safeguarding financial stability theory and practice /
by: Schinasi, Garry J.
Published: (2006) -
Elements of structured finance
by: Rutledge, Ann.
Published: (2010) -
The journal of risk finance.
Published: (2018)


