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Subjects
Portfolio management, Risk management, Econometrics, Statistical physics, Mathematics, Distribution (Probability theory), Finance, Economics, Statistics, Quantitative Finance, Probability Theory and Stochastic Processes, Statistics for Business/Economics/Mathematical Finance/Insurance, Business/Management Science, generalShowing 1 featured edition. View all 1 editions?
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Extreme Financial Risks: From Dependence to Risk Management
Jan 16, 2006, Springer
3540272666 9783540272663
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Feedback?December 13, 2022 | Edited by MARC Bot | import existing book |
October 4, 2021 | Edited by ImportBot | import existing book |
February 26, 2019 | Created by MARC Bot | import new book |