Theory of Financial Risk and Derivative Pricing:From Statistical Physics to Risk:Management SECOND
Jean-Philippe Bouchaud Marc Potters2008 年出版379 页ISBN:9787040239829
本书的英文版由剑桥出版社出版,其影印版由高等教育出版社影印出版发行。本书是用物理学的分析方法处理金融风险的书,它涉及到混沌、分形、厚尾分布等等一些金融风险领域的理论和方法。提出了不少问题,给出了一...
Numerical solution of Nonlinear Boundary Value Problems with Application
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New Aspects of Fundamental Problems in Laryngology and Otology
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INDOCHINESE REFUGEES IN AMERICA PROBLEMS OF ADAPTATION AND ASSIMILATION
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