ENGLISH Theory of Financial Risk and Derivative Pricing: From Statistical Physics to Risk Management By Jean-Philippe Bouchaud , Marc Potters, Book information Year2004 ISBN0521819164, 9780521819169, 9780511061516 LCCHG101 .B68 2003 Open Library IDOL22572148M Languageenglish FormatPDF Filesize5 MB (5180476 bytes) Edition2 Pages400\401 Topic Business › Management Scannedyes Time added2011-06-04 13:46:07 Менеджмент;Риск-менеджмент Similar books LIBRARY К вопросу о цикличности и проекционности неопределенности PDF LIBRARY Fundamentals in Systematics of Uncertainty Management Theory PDF LIBRARY Risk Management and Derivatives PDF LIBRARY A Comparative Review of Risk Management Standards 2005 PDF LIBRARY Servigny Arnaud de, Renault Olivier. Measuring and Managing Credit Risk PDF LIBRARY Экономика неопределенности и риска PDF LIBRARY Логика интервальной неопределенности PDF LIBRARY Економічний ризик та методи його вимірювання PDF