Theorie des finanziellen Risikos und derivatepreise: Von der statistischen Physik bis...
137,80 €
Theory of Financial Risk and Derivative Pricing : From Statistical Physics to Risk Management, Hardcover by Bouchaud, Jean-Philippe; Potters, Marc, ISBN 0521819164, ISBN-13 9780521819169, Like New Used, Free P&P in the UK Summarizes recent theoretical developments in statistical tools to measure financial markets, for students and professionals in econophysics and analytical markets.
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