{"languages": [{"key": "/l/eng"}], "physical_format": "Hardcover", "weight": "12.8 ounces", "publishers": ["Springer"], "type": {"key": "/type/edition"}, "number_of_pages": 148, "id": 14728924, "isbn_13": ["9780792398011"], "isbn_10": ["0792398017"], "publish_date": "September 30, 1996", "key": "/b/OL11152580M", "last_modified": {"type": "/type/datetime", "value": "2008-04-30 09:38:13.731961"}, "title": "Financial Risk and Derivatives", "contributions": ["Henri Louberg\u00e9 (Editor)", "Marti G. Subrahmanyam (Editor)"], "subjects": ["Insurance", "Business & Economics", "Business / Economics / Finance", "Politics/International Relations", "Economics - Microeconomics", "Finance", "Business & Economics / Finance", "Insurance - General"], "physical_dimensions": "9.3 x 6.2 x 0.6 inches", "revision": 1}