Risk Management & Derivatives / by Rane M. Stulz
Material type: TextLanguage: English Publication details: New Delhi: Cengage Learning, 2003. Description: xxii,676pISBN: 9788131501887Subject(s): Delta Gamma | economics | Interest Rate | Risk MnagementDDC classification: 332.632Item type | Current library | Call number | Status | Date due | Barcode |
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Books | PROF. BHUBANESWAR BEHERA CENTRAL LIBRARY General Stacks | 332.632 STU/R (Browse shelf(Opens below)) | Available | 125917 |
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332.63 RAM/Q Quantitative Methods For Valuation Of Financial Assets :100 Questions And Answers | 332.63 RAM/Q Quantitative Methods For Valuation Of Financial Assets :100 Questions And Answers | 332.632 SIN/S Security analysis with investment] and portfolio management | 332.632 STU/R Risk Management & Derivatives | 332.632042 CHA/I Investment analysis portfolio Management | 332.632042 CHA/I Investment analysis portfolio Management | 332.632042 CHA/I Investment analysis portfolio Management |
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