Zopounidis, C., & Galariotis, E. (2015). Quantitative financial risk management: Theory and practice. Wiley.
Cita Chicago (17th ed.)Zopounidis, Constantin, i Emilios Galariotis. Quantitative Financial Risk Management: Theory and Practice. Hoboken, New Jersey: Wiley, 2015.
Cita MLA (9th ed.)Zopounidis, Constantin, i Emilios Galariotis. Quantitative Financial Risk Management: Theory and Practice. Wiley, 2015.
Atenció: Aquestes cites poden no estar 100% correctes.