Theory of Financial Risk and Derivative Pricing : From Statistical Physics to Risk Management
2 Revised edition
Book Details
Format
Paperback / Softback
ISBN-10
0521741866
ISBN-13
9780521741866
Edition
2 Revised edition
Publisher
Cambridge University Press
Imprint
Cambridge University Press
Country of Manufacture
GB
Country of Publication
GB
Publication Date
Jan 22nd, 2009
Print length
400 Pages
Weight
770 grams
Dimensions
24.60 x 17.50 x 1.90 cms
Product Classification:
FinanceManagement decision makingProbability & statisticsStatistical physics
AI Summary
Ksh 11,900.00
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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.
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