Derivatives and risk management
Publication details: New Delhi Oxford University Press 2014Edition: 2nd. edDescription: xviii, 678 p. 23 cmISBN: 9780198089155Subject(s): Mathematical models | Derivative securities | Risk managementDDC classification: 332.645Item type | Current library | Collection | Call number | Status | Date due | Barcode |
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Books | Nalanda University Management | School of Management Studies | 332.645 Sr38 (Browse shelf (Opens below)) | Available | 012998 |
Browsing Nalanda University shelves, Shelving location: Management, Collection: School of Management Studies Close shelf browser (Hides shelf browser)
332.6 C3618 Investment analysis and portfolio management | 332.632 P38 Financial statement analysis and security valuation | 332.645 H8776 Options, futures, and other derivatives | 332.645 Sr38 Derivatives and risk management | 332.742 Is46 Microcredit and poverty alleviation | 333.7 B7564 Sustainable resource use and economic dynamics | 333.7 D8528 Climate economics |
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