
Theory of Financial Risk and Derivative Pricing: From Statistical Physics to Risk Management - Hardcover
$155.99
$159.00
-2%Quantity
01
Pay over time for orders over $35.00 with
Availability:In StockContributor:Jean-Philippe Bouchaud, Marc PottersPublish date:2004-02-02Pages:379
Language:EnglishPublisher:Cambridge University PressISBN-13:9780521819169ISBN-10:521819164UPC:9780521819169Book Category:Business & EconomicsBook Subcategory:Finance, StatisticsSize:9.88 x 6.80 x 1.00 inchesWeight:2.101Product ID:SCN0XTK94S
Language:EnglishPublisher:Cambridge University PressISBN-13:9780521819169ISBN-10:521819164UPC:9780521819169Book Category:Business & EconomicsBook Subcategory:Finance, StatisticsSize:9.88 x 6.80 x 1.00 inchesWeight:2.101Product ID:SCN0XTK94S
Publisher: Cambridge University Press
Edition
2nd Revised Edition
Contributor(s)
Free shipping on orders over $75. Standard shipping takes 3-7 business days. Returns accepted within 30 days of purchase.
