Understanding risk: the theory and practice of financial risk management
Publication details: New York CRC Press 2008Description: xvii, 452 p.; 25 cm B/W IllustrationsISBN: 9781584888932Subject(s): Portfolio management | Financial risk management | Investment analysis | Financial instrumentsDDC classification: 658.155Item type | Current library | Collection | Call number | Status | Date due | Barcode |
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Books | Nalanda University Management | School of Management Studies | 658.155 M9524 (Browse shelf (Opens below)) | Available | 013067 |
Browsing Nalanda University shelves, Shelving location: Management, Collection: School of Management Studies Close shelf browser (Hides shelf browser)
658.1511 An868 Accounting: text and cases | 658.155 B6606 Theory of financial risk and derivative pricing: from statistical physics to risk management | 658.155 H7739 Fundamentals of risk management: understanding evaluating and implementing effective risk management | 658.155 M9524 Understanding risk: | 658.155 T1537 Principles of project and infrastructure finance | 658.1599 Ap83 International financial management | 658.1599 B4699 International trade finance: a pragmatic approach |
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