Theory of financial risk and derivative pricing : from statistical physics to risk management /
Publication details: Cambridge, UK ;New York : Cambridge University Press 2003Edition: 2nd edDescription: xx, 379 p. : ill. ; 26 cmISBN: 0521819164Subject(s): FINANCIAL ENGINEERING | RISK MANAGEMENT | FINANCE--DEVELOPING COUNTRIES | RISK ASSESSMENTLOC classification: HG 101 PotOnline resources: Click here for electornic version | Click here for electornic version | Click here for electornic version| Item type | Home library | Call number | Materials specified | Status | Date due | Barcode |
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CBU-MAIN LIBRARY, KITWE. | HG 101 Pot (Browse shelf(Opens below)) | Available | 038928 |
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Rev. ed. of: Theory of financial risks. 2000. -Includes bibliographical references and indexes.

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