INDIAN COMMODITY MARKET:DERIVATIVES AND RISK MANAGEMENT
Material type: TextPublication details: SERIAL PUBLICATION NEW DELHI 2010Description: 777ISBN:- 978-81-8387-383-3
- 14567 332.632 8
- INV\10-11\
Item type | Current library | Collection | Call number | Status | Date due | Barcode | Item holds | |
---|---|---|---|---|---|---|---|---|
Reference | Main Library Reference | REF | 332.632 8/VEL/PAL/SHU/14567 (Browse shelf(Opens below)) | Not For Loan | 11114567 |
Total holds: 0
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332.603 / FIN / 7475 DICTIONARY OF INERNATIONAL INVESTMENT AND FINANCE TERMS: | 332.63 / CHO / 15292 AN INTRODUCTION TO BOND MARKETS | 332.63/ DYM/ 16941 THE COMPLETE PRACTITIONER'S GUIDE TO THE BOND MARKET | 332.632 8/VEL/PAL/SHU/14567 INDIAN COMMODITY MARKET:DERIVATIVES AND RISK MANAGEMENT | 332.632/ BHA/ 16909 SECURITY ANALYSIS AND PORTFOLIO MANAGEMENT | 332.632 / CHO / 3216 "THE BOND AND MONEY MARKETS:STRATEGY, TRADING, ANALYSIS" | 332.632 / DAS / 14019 STRUCTURED PRODUCTS AND HYBRID SECURITIES: |
INV\10-11\
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