Theory Of Financial Risk And Derivative Pricing
From Statistical Physics To Risk Management
language: english
Publisher:
CAMBRIDGE UNIVERSITY PRESS, December of 2003 ‧
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SYNOPSIS
The substantially expanded 2003 second edition of this ground-breaking book summarizes theoretical developments in statistical tools to measure financial markets. A classic reference for graduate students and researchers working in econophysics, and professionals in the analytical markets.
DETAILS
| Property | Description |
|---|---|
| ISBN: | 9780521819169 |
| Publisher: | CAMBRIDGE UNIVERSITY PRESS |
| Release Date: | December of 2003 |
| Language: | English |
| Cover: | Hardcover |
| Pages: | 400 |
| Format: | Book |
| Categories: |
Books in English
>
Economics, Finance and Accounting
>
Finances
|
| EAN: | 9780521819169 |