01300pam a2200361 c 4500001001300000005001500013007000300028008004100031020003400072023001800106035001800124040002700142041001300169049002800182052001700210056001400227082001500241245012200256246007400378260003400452300003800486500005800524504004500582546004100627650004700668650004700715700001400762700005200776700003700828900003400865900002800899950001100927KMO20103477620100812174400ta100804s2010 ggkad 001 kor  a9788932910574g93320:c\18000 aCIP2010002385 aUB20100235428 a011005c011005d0110051 akorheng0 lEM4858019lEM4858020c201a327.01b10-1 a327.012501a332.0122100a프랙털 이론과 금융 시장 /d브누아 B. 만델브로트,e리처드 L. 허드슨 지음 ;e이진원 옮김19a(mis) behavior of markets :ba fractal view of risk, ruin, and reward a파주 :b열린책들,c2010 a421 p. :b삽화, 도표 ;c23 cm a원저자명: Benoit B. Mandelbrot, Richard L. Hudson a참고문헌(p. 397-415)과 색인수록 a영어 원작을 한국어로 번역 8a금융 시장[金融市場]0KSH1998008313 8a금융 이론[金融理論]0KSH19980102301 a이진원1 aMandelbrot, Benoit B.,d1924-20100KAC2010063551 aHudson, Richard L.0KAC20100635610a만델브로트, 브누아 B.10a허드슨, 리처드 L.0 b\18000