Theory of Financial Risk and Derivative Pricing: From Statistical Physics to Risk Management
Bouchaud, Jean-Philippe; Potters, Marc
Language: English
Published by Cambridge University Press, 2005
- Hardcover
- Used





Seller: Chamblin Bookmine, Jacksonville, FL, U.S.A.Chamblin Bookmine
AbeBooks seller since August 8, 2001
Condition: Used - Very good
US$ 75.00
Quantity: 1 available
Add to basketItem description from seller
379p. Interior is unmarked on white pages. Binding is tight with hinges fully attached. Black cloth boards are clean with lightly bumped corners and silver lettering on spine. Dust jacket is glossy and unclipped with mild edge wear.
Seller Inventory # 114341
- Title
- Theory of Financial Risk and Derivative Pricing: From Statistical Physics to Risk Management
- Author
- Bouchaud, Jean-Philippe; Potters, Marc
- Publisher
- Cambridge University Press
- Publication year
- 2005
- Condition
- Very Good
- Dust jacket
- Very Good
- Binding
- 4to Hardcover
- Language
- English
- ISBN 10
- 0521819164
- ISBN 13
- 9780521819169
- Edition
- 2nd Edition.
- Seller catalogs
- ECONOMICS, FINANCE, MATHEMATICS
"Synopsis" may belong to another edition of this title.
About the Author
Marc Potters has been Head of Research at CFM since 1998, where he supervises thirty physics PhD's. He has published numerous articles in the new field of statistical finance, in particular on Random Matrix Theory applied to portfolio management. He works on various concrete applications of financial forecasting, option pricing and risk control.
"About the title" may belong to another edition of this title.
Chamblin Bookmine
Jacksonville, FL, U.S.A.
AbeBooks seller since August 8, 2001
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Chamblin Bookmine
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