Dear colleague,

    you have recently downloaded a draft version of our book,
we are pleased to announce that it is now available in print:


*** THEORY OF FINANCIAL RISKS ***
>From Statistical Physics to Risk Management

by Jean-Philippe Bouchaud (Commissariat a l'Energie Atomique, Saclay)
and Marc Potters (Science & Finance)

Cambridge University Press (2000)
ISBN 0 521 78232 5

The book is available in bookstores in Europe and should be
available before October in the rest of the world. You can find out
more about it, including links to order it on-line, on our web site:
http://www.science-finance.fr/book.html

We wish you a pleasant reading,

Sincerely,

Jean-Philippe Bouchaud
and Marc Potters
--
Science & Finance -- Capital Fund Management
109-111 rue Victor Hugo  |  book@science-finance.fr
92532 Levallois          |  tel: +33.1.41.27.91.11
France                   |  fax: +33.1.47.39.04.47