DERIVATIVES AND RISK MANAGEMENT / RAJIV SRIVASTAVA, Professor, Finance, Indian Institute of Foreign Trade, New Delhi.IELD**
Material type: TextPublication details: New Delhi, India : OXFORD UNIVERSITY PRESS, 2014.Edition: Second editionDescription: xviii, 678 pages : illustrations ; 25 cmISBN:- 9780198089155
- HG6024.A3 S685 2014
Item type | Current library | Collection | Call number | Copy number | Status | Date due | Barcode | |
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Books | MAIN General | AUE Library Collection | HG6024 .A3 S685 2014 (Browse shelf(Opens below)) | 1 | Available | 14009261 |
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HG6024 .A3 K649 2007 Futures, options, and swaps / | HG6024.A3 M394 2013 Derivatives markets / | HG6024.A3 R43 2004 Volatility and correlation : | HG6024 .A3 S685 2014 DERIVATIVES AND RISK MANAGEMENT / | HG6024.A3 T476 2010 The options trading body of knowledge : | HG6024.A3 Y38 2003 High performance options trading : | HG6024 .D43 2008 Debt, risk and liquidity in futures markets / |
Includes index.
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