Derivatives and Risk Management
Publisher: New Delhi Oxford University Press 2010Description: 592pISBN: 9780198064343Subject(s): Derivatives | Risk ManagementDDC classification: 332.632Item type | Home library | Collection | Call number | Status | Date due | Barcode | Item holds |
---|---|---|---|---|---|---|---|
General Books | SOM Library | General (Miscellaneous) | 332.632 SRI (Browse shelf) | Available | M0006526 |
Total holds: 0
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332.632 REB The SABR/LIBOR Market Model: Pricing, Calibration and Hedging for Complex Interest - Rate Derivatives | 332.632 SIN Security Analysis and Portfolio Management | 332.632 SLA Making Extraordinary Profits from Ordinary Shares | 332.632 SRI Derivatives and Risk Management | 332.632 SRI Futures and Options: Equities & Commodities | 332.632 THE The Oxford Handbook of Credit Derivatives | 332.632 VAR Derivatives and Risk Management |
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