Managing downside risk in financial markets theory, practice and implementation
Publication details: London Butterworth 2001 2001Description: xiv, 267p. 23cmISBN:- 0750648635
- 332.60151954 MAN
Item type | Current library | Collection | Call number | Status | Date due | Barcode | |
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Electronic Media Lending | Main Library Multimedia Unit | Electronic Media Collection | 332.60151954MAN (Browse shelf(Opens below)) | Available | 27720CD | ||
Electronic Media Lending | Main Library Multimedia Unit | Electronic Media Collection | 332.60151954MAN (Browse shelf(Opens below)) | Available | 21143CD | ||
Schedule Reference Materials | Main Library Reference Section | Schedule Reference Collection | 332.60151954MAN (Browse shelf(Opens below)) | Available | 27720 | ||
Schedule Reference Materials | Main Library Reference Section | Schedule Reference Collection | 332.60151954MAN (Browse shelf(Opens below)) | Available | 21143 |
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332.49172GHA Monetary economics in developing countries | 332.601519236BOU Financial markets and martingales | 332.60151954MAN Managing downside risk in financial markets | 332.60151954MAN Managing downside risk in financial markets | 332.6015195QUA Quantitative investment analysis / | 332.60151CAP Mathematics for finance | 332.60151CAP Mathematics for finance |
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