Theory of Financial Risks: From Statistical Physics to Risk Management
| dc.contributor.author | , PottersBouchard | |
| dc.date.accessioned | 2018-12-13T09:13:52Z | |
| dc.date.accessioned | 2024-07-02T07:31:58Z | |
| dc.date.available | 2018-12-13T09:13:52Z | |
| dc.date.available | 2024-07-02T07:31:58Z | |
| dc.date.issued | 2001 | |
| dc.identifier.isbn | 978-0521782326 | |
| dc.identifier.uri | https://drs.ess.gov.et/handle/123456789/30542 | |
| dc.language.iso | en | en_US |
| dc.publisher | Cambridge University Press | en_US |
| dc.subject | Risk management | en_US |
| dc.title | Theory of Financial Risks: From Statistical Physics to Risk Management | en_US |
| dc.type | Book | en_US |