{"weight": "2.1 pounds", "latest_revision": 2, "id": 12252360, "first_sentence": {"type": "/type/text", "value": "A random variable X is the number that corresponds to a measurement that has yet to take place."}, "source_records": ["amazon:3540222138:gv:2838037933:246823", "marc:marc_loc_updates/v36.i10.records.utf8:23956843:1296"], "title": "Risk and Asset Allocation (Springer Finance)", "languages": [{"key": "/l/eng"}], "subjects": ["Investment & securities", "Risk assessment & analysis for business", "Mathematics", "Counting & Numeration", "Business & Economics", "Business/Economics", "Algebra - Linear", "Finance", "Probability & Statistics - General", "Asset allocation", "Bayesian statistics", "Business & Economics / Finance", "JEL classification: C1, C3, C5, C6, G0, G1", "MSC (2000) 15-xx, 46-xx, 62-xx, 65-xx, 90-xx", "estimation risk", "performance evaluation", "General"], "type": {"key": "/type/edition"}, "physical_dimensions": "9.1 x 6.1 x 1.4 inches", "revision": 2, "publishers": ["Springer"], "edition_name": "1st ed. 2005. Corr. 3rd printing edition", "physical_format": "Hardcover", "last_modified": {"type": "/type/datetime", "value": "2009-05-05T12:58:31.514892"}, "key": "/b/OL9054790M", "authors": [{"key": "/a/OL3178416A"}], "created": {"type": "/type/datetime", "value": "2008-04-30T09:38:13.731961"}, "number_of_pages": 532, "isbn_13": ["9783540222132"], "isbn_10": ["3540222138"], "publish_date": "July 2007"}