RISK MANAGEMENT WITH FINANCIAL DERIVATIVES MARKET
Material type: TextEdition: 2010/2013 MF-10-53Description: 75 HARD CDItem type | Current library | Call number | Status | Date due | Barcode | Item holds | |
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Project Report | Main Library Reference | PR-1015/MFM/4441015 (Browse shelf(Opens below)) | Not For Loan | 4441015 |
Total holds: 0
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PR-1012/MFM/4441012 ANALYTICAL STUDY ON CURRENCY DERIVATIVES IN INDIA | PR-1013/MFM/4441013 INDIAN SECURITIZATION MARKET | PR-1014/MFM/4441014 INSURANCE SECTOR IN INDIA | PR-1015/MFM/4441015 RISK MANAGEMENT WITH FINANCIAL DERIVATIVES MARKET | PR-1017/MFM/4441017 A STUDY OF THE CONFLICT BETWEEN SEBI AND IRDA OVER ULIP PRODUCTS AND A COMPARATIVE ANALYSIS ON THE RETURN OF ULIP AND MUTUAL FUND | PR-1018/MFM/4441018 COMMODITY MARKET IN INDIA | PR-1019/MFM/4441019 COMMODITY MARKET RESEARCH AND ANALYSIS |
INTERNAL GUIDE: PROF. DEVAKI NADKARNI
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