Derivatives and risk management
Material type: TextPublication details: New Delhi: Oxford University Press, 2014Edition: 2nd edDescription: xviii, 678 pISBN: 9780198089155; 0198089155Subject(s): Securities | InvestmentDDC classification: 332.632 SRIItem type | Current library | Collection | Shelving location | Call number | Materials specified | Status | Date due | Barcode |
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Management Books | Presidency University Library | Non-Fiction | Economics | 332.632 SRI (Browse shelf(Opens below)) | Available | 3604 |
Browsing Presidency University Library shelves, Shelving location: Economics, Collection: Non-Fiction Close shelf browser (Hides shelf browser)
332.632 AVA Investment and securities markets in India | 332.632 GHO End user's guide to risk management and derivatives commodities, currencies, interest rates | 332.632 HIR Introduction to the mathematics of financial derivatives | 332.632 SRI Derivatives and risk management | 332.632042 CHA Investment analysis and portfolio management | 332.632042 CHA Investment analysis and portfolio management | 332.632042 CHA Investment analysis and portfolio management |
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