Theory of Financial Risks: From Statistical Physics to Risk Management
ISBN: 0521782325
Category: Business
Tag: Economics and Finances
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Jean-Philippe Bouchaud, Marc Potters “Theory of Financial Risks: From Statistical Physics to Risk Management "
Cambridge University Press; (January 15, 2000) | ISBN: 0521782325 | 218 pages | Djvu | 3 Mb
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http://rapidshare.com/files/90546710/Theory_of_Financial_Risks.rar
Cambridge University Press; (January 15, 2000) | ISBN: 0521782325 | 218 pages | Djvu | 3 Mb
Mirror:
http://rapidshare.com/files/90546710/Theory_of_Financial_Risks.rar
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