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1.
Theory of financial risks: From statistical physics to risk by
Material type: Text Text
Publication details: Cambridge Cambridge Uni Pr 2000
Availability: Items available for loan: IGIDR (1)Collection, call number: 332.015118/BOU.

2.
Semi-Markov risk models for finance, insurance and reliabili by
Material type: Text Text
Publication details: Berlin Springer-Verlag 2007
Availability: Items available for loan: IGIDR (1)Collection, call number: 332.01519233/JAN.

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Extreme value methods with applications to finance by Series: Monographs on statistics and applied probability
Material type: Text Text
Publication details: Boca Raton CRC Pr 2012
Availability: Items available for loan: IGIDR (1)Collection, call number: 332.015195/NOV.

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Portfolio management under stress: A Bayesian-net approach t by
Material type: Text Text
Publication details: Cambridge Cambridge Uni Pr 2013
Availability: Items available for loan: IGIDR (1)Collection, call number: 332.6015118/REB.


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