DERIVATIVES AND RISK MANAGEMENT
Publication details: OXFORD UNIVERSITY PRESS 2011 NEW DELHIDescription: XVI, 592 P. PAPERISBN:- 9780198061343
- 332.632
- BOOK BASE
Item type | Current library | Collection | Call number | Status | Date due | Barcode | Item holds | |
---|---|---|---|---|---|---|---|---|
Book | Main Library ON SHELF | Text Book | 332.632/ SRI/ 16747 (Browse shelf(Opens below)) | Available | 11116747 |
Total holds: 0
Browsing Main Library shelves, Shelving location: ON SHELF, Collection: Text Book Close shelf browser (Hides shelf browser)
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332.632/ RAN/MAD/ 17470 DERIVATIVES AND RISK MANAGEMENT | 332.632/ RAN/MAD/ 17471 DERIVATIVES AND RISK MANAGEMENT | 332.632/ SIN/ 17238 SECURITY ANALYSIS AND PORTFOLIO MANAGEMENT: | 332.632/ SRI/ 16747 DERIVATIVES AND RISK MANAGEMENT | 332.632/ VAL/ 16794 BEST PRACTICES FOR EQUITY RESEARCH ANALYSTS : ESSENTIALS FOR BUY-SIDE AND SELL-SIDE ANALYSTS | 332.6328/ KEV/ 17287 COMMODITY AND FINANCIAL DERIVATIVES | 332.632/KAT/ 16598 THE LITTLE BLACK BOOK OF SIDEWAYS MARKETS HOW TO MAKE MONEY IN MARKETS THAT GO NOWHERE |
BOOK BASE
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