000 01361cam a22003374a 4500
005 20250930120631.0
008 050524s2004 ne b 001 0 eng
020 _a0121706214 (alk. paper)
_cRM262.48
039 9 _a200510051651
_bjamil
_c200510051625
_djamil
_c200510051612
_djamil
_c200508300908
_dzakir
_y05-24-2005
_zzakir
090 _aHB615.C43
090 _aHB615
_b.C43
100 1 _aChavas, Jean-Paul
245 1 0 _aRisk analysis in theory and practice /
_cJean-Paul Chavas
260 _aAmsterdam :
_bElsevier Butterworth-Heinimann ,
_c2004
300 _aviii, 247 p. ;
_c24 cm.
440 0 _aAcademic Press advanced finance series
504 _aIncludes bibliographical references (p. 231-235) and index
650 0 _aRisk
_xEconometric models
650 0 _aUncertainty
_xEconometric models
_964088
650 0 _aDecision making
_xEconometric models
650 0 _aRisk
_xEconometric models
_vProblems, exercises, etc.
856 4 2 _3Publisher description
_uhttp://www.loc.gov/catdir/description/els051/2004045124.html
856 4 1 _3Table of contents
_uhttp://www.loc.gov/catdir/toc/fy045/2004045124.html
907 _a.b13530343
_b2020-10-15
_c2019-11-12
942 _c01
_n0
_kHB615.C43
914 _avtls003305541
990 _ajj
991 _aProgram Sains Aktuari
998 _at
_b2005-11-05
_cm
_da
_feng
_gne
_y0
_z.b13530343
999 _c352224
_d352224