Extreme financial risks from dependence to risk management Y. Malevergne & D. Sornette
Material type: TextPublication details: Berlin Springer 2006 Description: xvi 312ISBN: 9783540272649Subject(s): Financial MathematicsDDC classification: 14.12Item type | Current library | Call number | Materials specified | Status | Date due | Barcode |
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Books | TIFR CAM Library | 14.12 MALE (Browse shelf(Opens below)) | Available | M7567 |
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14.12 JOSH Concepts & practice of mathematical finance | 14.12 KARA Methods of mathematical finance | 14.12 LUEN Investment science | 14.12 MALE Extreme financial risks from dependence to risk management | 14.12 MITT Mathematical statistics for economics & business | 14.12 NEFT Principles of financial engineering | 14.12 PLAT Benchmark approach to quantitative finance |
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