Bouchaud, J. (2000). Theory of financial risks: From statistical physics to risk management. Cambridge [England],New York: Cambridge University Press.
Chicago-stil citatBouchaud, Jean-Philippe. Theory of Financial Risks: From Statistical Physics to Risk Management. Cambridge [England],New York: Cambridge University Press, 2000.
MLA-referensBouchaud, Jean-Philippe. Theory of Financial Risks: From Statistical Physics to Risk Management. Cambridge [England],New York: Cambridge University Press, 2000.
Varning: dessa hänvisningar är inte alltid fullständigt riktiga.