01187nam0 22003131i 450 RML026352320231121125720.0052178232520121121d2000 ||||0itac50 baenggbz01i xxxe z01nTheory of financial risksfrom statistical physics risk managmentJean-Philippe Bouchaud and Marc PottersCambgidge Cambridge University press ©2000XIII, 218 p.26 cmInclude indiceFinanzaSpeculazione finanziariaFIRRMLC404670I33220Bouchaud, Jean-PhilippeRMLV16884466968Potters, MarcRMLV14692266969ITIT-0120121121IT-FR0098 Biblioteca Area Giuridico EconomicaFR0098 RML0263523Biblioteca Area Giuridico Economica 53TER 332/522 53VM 0000336735 VM barcode:ECO013392. - Inventario:5781. - Fondo:Sala consultazioneVMA 2003060420121204 53Theory of financial risks377286UNICAS