Theory of Financial Risk and Derivative Pricing

From Statistical Physics to Risk Management

Business & Finance, Economics, Statistics, Nonfiction, Science & Nature, Science
Big bigCover of Theory of Financial Risk and Derivative Pricing

More books from Cambridge University Press

bigCover of the book Ironies of Colonial Governance by
bigCover of the book Why Govern? by
bigCover of the book Writing in the Environmental Sciences by
bigCover of the book Diasporas and Foreign Direct Investment in China and India by
bigCover of the book African Socialism in Postcolonial Tanzania by
bigCover of the book Protean Power by
bigCover of the book Law and Literature by
bigCover of the book The Apocalypse in the Early Middle Ages by
bigCover of the book Smell and Taste Disorders by
bigCover of the book The Philosophical Writings of Descartes: Volume 3, The Correspondence by
bigCover of the book Religious Liberty by
bigCover of the book Poems, Volume 1 (of 3) by
bigCover of the book Southern Gaul and the Mediterranean by
bigCover of the book Judges, Law and War by
bigCover of the book Geographical Information Systems in Archaeology by
We use our own "cookies" and third party cookies to improve services and to see statistical information. By using this website, you agree to our Privacy Policy