Media type: Book Title: Theory of financial risks : from statistical physics to risk management Contains: Literaturverz. S. 207 Contributor: Bouchaud, Jean-Philippe [Author]; Potters, Marc [Author] imprint: Cambridge [u.a.]: Cambridge Univ. Press, 2000 Issue: 1. publ. Extent: XIII, 218 S; graph. Darst; 26 cm Language: English ISBN: 0521782325 RVK notation: QK 600 : Allgemeines SK 980 : Wirtschaftsmathematik, Ökonometrie, Produktionstheorie Keywords: Kreditmarkt > Risikotheorie Risikotheorie > Kreditmarkt Kapitalanlage > Kreditmarkt > Risikomanagement Risikotheorie > Kreditmarkt Origination: Footnote: Includes bibliographical references and indexes
Departmental Library DrePunct – open access area Shelf-mark: QK 600 B752 Item ID: 10258998 Status: Loanable