000 | 00460pam a2200169a 44500 | ||
---|---|---|---|
008 | 170807b2011 xxu||||| |||| 00| 0 eng d | ||
082 | _a332.015192/RAC | ||
100 | _aRachev, Svetlozar T | ||
245 | _aA Probability metrics approach to financial risk measures | ||
260 |
_aChichester _bWiley-Blackwell _c2011 |
||
300 | _axvi; 375p | ||
500 | _a9780000000000 | ||
650 | _aProbabilities | ||
650 | _aFinancial risk management | ||
650 | _aFinancial economics | ||
650 | _aEconomics | ||
700 | _aStoyanov, Stoyan V | ||
700 | _aFabozzi, Frank J | ||
906 | _a91675 | ||
942 |
_2ddc _cBK |
||
999 |
_c89463 _d89463 |