Comments:ALTERNATE EDITION: Brand New Papercover International 2nd edition textbook (Textbook only). The English content is identical to the American edition. Its ISBN, cover picture, and cover binding may be different. The book printed in black/white, and the book cover which has dual languages design maybe contains restricted sales disclaimer. Expected speedy worldwide shipment with full tracking information delivery in 3-5 business days.
30-day money back guarantee
Publication Date: 2009
Publisher: Cambridge University Press
Bouchaud, Jean-Philippe, Potters, Marc
Bouchaud, Jean-Philippe is the author of 'Theory of Financial Risk and Derivative Pricing: From Statistical Physics to Risk Management', published 2009 under ISBN 9780521741866 and ISBN 0521741866.