APA Style
ZOPOUNIDIS, Constantin. (2015).
Quantitative Financial Risk Management:Theory and Practice (Frank J. Fabozzi Series) (Ed. 1, cet. 1).
New York:
John Wiley & Sons.
Chicago Style
ZOPOUNIDIS, Constantin.
Quantitative Financial Risk Management:Theory and Practice (Frank J. Fabozzi Series).
Ed. 1, cet. 1
New York:
John Wiley & Sons,
2015.
Text.
MLA Style
ZOPOUNIDIS, Constantin.
Quantitative Financial Risk Management:Theory and Practice (Frank J. Fabozzi Series).
Ed. 1, cet. 1
New York:
John Wiley & Sons,
2015.
Text.
Turabian Style
ZOPOUNIDIS, Constantin.
Quantitative Financial Risk Management:Theory and Practice (Frank J. Fabozzi Series).
Ed. 1, cet. 1
New York:
John Wiley & Sons,
2015.
Print.