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Publisher:
CAMBRIDGE UNIVERSITY PRESS
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Page 5 of 5
Title
Authors/Editors
Publisher
Type
Copies
THEORY OF FINANCIAL RISK AND DERIVATIVE PRICING. FROM STATISTICAL PHYSICS TO RISK MANAGEMENT
Edition
:
2nd - [2000]
Year
:
2003
Call No
:
ΡΕΘΥΜΝΟ-ΣΠΙΤΙ
NEW 2.3
BOUCHAUD
POTTERS
CAMBRIDGE UNIVERSITY PRESS
Books
1
THEORY OF FINANCIAL RISKS. FROM STATISTICAL PHYSICS TO RISK MANAGEMENT
Year
:
2000
Call No
:
ΡΕΘΥΜΝΟ-ΣΠΙΤΙ
NEW 2.3
BOUCHAUD
POTTERS
CAMBRIDGE UNIVERSITY PRESS
Books
1
THEORY OF PRODUCTION. A LONG-PERIOD ANALYSIS
Year
:
1995
Call No
:
ΡΕΘΥΜΝΟ ΣΠΙΤΙ,
HALL 4
KURZ
SALVADORI
CAMBRIDGE UNIVERSITY PRESS
Books
1
VECTOR AUTOREGRESSIVE PROCESSES WITH NONLINEAR TIME TRENDS IN COINTEGRATING RELATIONS
Year
:
2001
Series
:
MACROECONOMIC DYNAMICS 5, PRINTED IN USA
Call No
:
ΡΕΘΥΜΝΟ-ΣΠΙΤΙ
NEW UP 1
RIPATTI
SAIKKONEN
CAMBRIDGE UNIVERSITY PRESS
References
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