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 - 2nd - New Delhi Cambridge University press 2011 - xx, 379p.
9780521263368
Management
658.150 / BOU
Theory of Financial risk and derivative pricing : From statistical physics to risk management - 2nd - New Delhi Cambridge University press 2011 - xx, 379p.
9780521263368
Management
658.150 / BOU