Global derivatives : a strategic risk management perspective / Torben Juul Andersen.
Publication details: Harlow, England ; New York : Financial Times/Prentice Hall, 2006.Description: xxiv, 453 p. : ill. ; 25 cmISBN:- 9780273688549
Current library | Call number | Status | Date due | Barcode |
---|---|---|---|---|
Manila Tytana Colleges Library CIRCULATION SECTION | CIR HG 6024.A3 A53 2006 (Browse shelf(Opens below)) | Available | 019340 |
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CIR HG 4910 K59 2012 Rich dad's guide to investing : what the rich invest in that the poor and middle class do not! | CIR HG 4910 S28 2015 Financial markets and institutions / | CIR HG 5686.C7 K53 2011 Auditing cases / | CIR HG 6024.A3 A53 2006 Global derivatives : a strategic risk management perspective / | CIR HG 6024.A3 H85 2006 Options, futures, and other derivatives / | CIR HG 6024.A3 H85 2011 Fundamentals of futures and options markets / | CIR HG 6024.A3 H85 2012 Options, futures, and other derivatives / |
Includes bibliographical references and index.
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