000 01022nam a2200289 a 4500
005 20250913125645.0
008 981208s1997 xxu 00 eng
020 _a0387983635
_cRM196.56
039 9 _a201012031537
_bazhari
_y08-18-1999
_zload
040 _aUKM
090 _aHG176.5.M36
090 _aHG176.5
100 1 _aMandelbrot, B. B. (Benoit B.)
245 1 0 _aFractals and scaling in finance :
_bdiscontinuity, concentration, risk
_bselecta volume E /
_cBenoit B. Mandelbrot ; with foreword by R. E. Gomory, and contributions by P. H. Cootner ... [et al.]
260 _aNew York :
_bSpringer-Verlag,
_c1997
300 _a551 p. :
_bill. ;
_c24 cm.
504 _ap. 526-541
650 0 _aFinance
_xStatistical methods
650 0 _aFractals
650 0 _aScaling (Social sciences)
907 _a.b10810031
_b2021-05-28
_c2019-11-12
942 _c01
_n0
_kHG176.5.M36
914 _avtls000084147
991 _aFak Sains Matematik
998 _at
_b1999-05-08
_cm
_da
_feng
_gxxu
_y0
_z.b10810031
999 _c82864
_d82864