Srivastava, Rajiv.

DERIVATIVES AND RISK MANAGEMENT / RAJIV SRIVASTAVA, Professor, Finance, Indian Institute of Foreign Trade, New Delhi.IELD** - Second edition. - New Delhi, India : OXFORD UNIVERSITY PRESS, 2014. - xviii, 678 pages : illustrations ; 25 cm

Includes index.

9780198089155


Derivative securities.
Risk management.

HG6024.A3 / S685 2014