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Publish Date
2003
Publisher
CAMBRIDGE UNIV PRESS,
Cambridge University Press
Language
Undetermined
Pages
379
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THEORY OF FINANCIAL RISK AND DERIVATIVE PRICING: FROM STATISTICAL PHYSICS TO RISK MANAGEMENT.
2003, CAMBRIDGE UNIV PRESS, Cambridge University Press
in Undetermined
- 2ND ED.
0521819164 9780521819169
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- Created November 16, 2008
- 15 revisions
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October 1, 2024 | Edited by MARC Bot | import existing book |
March 7, 2023 | Edited by MARC Bot | import existing book |
January 8, 2023 | Edited by MARC Bot | import existing book |
December 8, 2020 | Edited by MARC Bot | import existing book |
November 16, 2008 | Created by ImportBot | Imported from University of Toronto MARC record |