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008 090212s2006 gw q j eng d
020 _a9783540272663 (electronic bk.)
035 _a(Springer)978-3-540-27264-9
039 9 _a200902121801
_bmuhaimin
_c200902121023
_dmuhaimin
_c200804041053
_dmuhaimin
_c200804040935
_dmuhaimin
_y04-03-2008
_zmuhaimin
082 0 4 _a332.6015118
_222
100 1 _aMalevergne, Yannick.
245 1 0 _aExtreme Financial Risks
_h[electronic resource] :
_bFrom Dependence to Risk Management /
_cby Yannick Malevergne, Didier Sornette.
260 _aBerlin, Heidelberg :
_bSpringer-Verlag Berlin Heidelberg,
_c2006.
300 _axvi, 312 p. :
_bill., digital ;
_c24 cm.
650 0 _aInvestment analysis
_xMathematical models.
650 0 _aStochastic models.
650 0 _aRisk management
_xMathematical models.
650 1 4 _aMathematics.
650 2 4 _aEconometrics.
650 2 4 _aStatistics for Business/Economics/Mathematical Finance/Insurance.
650 2 4 _aStatistical Physics.
650 2 4 _aProbability Theory and Stochastic Processes.
650 2 4 _aQuantitative Finance.
650 2 4 _aBusiness/Management Science, general.
700 1 _aSornette, Didier.
710 2 _aSpringerLink (Online service)
773 0 _tSpringer e-books
856 4 0 _uhttps://eresourcesptsl.ukm.remotexs.co/user/login?url=http://dx.doi.org/10.1007/b138841
907 _a.b14136788
_b2024-04-25
_c2019-11-12
942 _n0
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998 _ae0001
_b2008-03-04
_cm
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_ggw
_y0
_z.b14136788
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