MODELLING SYSTEMIC RISK IN FINANCIAL MARKETS - UGOLINI, ANDREA



Condition of the lot: Very Good (new or like new, without any signs of use)

Autor: UGOLINI, ANDREA

Editorial: UNIVERSIDAD DE CANTABRIA

Encuadernación: Rústica

Páginas: 120

EAN: 9788481028034

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From 18/12/2019
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