Millions of books in English, Spanish and other languages. Free UK delivery 

menu

0
  • argentina
  • chile
  • colombia
  • españa
  • méxico
  • perú
  • estados unidos
  • internacional
portada risk management: approaches for fixed income markets
Type
Physical Book
Publisher
Year
2000
Language
English
Pages
336
Format
Hardcover
Dimensions
24.0 x 16.1 x 2.8 cm
Weight
0.60 kg.
ISBN
0471332119
ISBN13
9780471332114

risk management: approaches for fixed income markets

Bennett W. Golub (Author) · Leo M. Tilman (Author) · Wiley · Hardcover

risk management: approaches for fixed income markets - Golub, Bennett W. ; Tilman, Leo M.

New Book

£ 82.51

  • Condition: New
Origin: U.S.A. (Import costs included in the price)
It will be shipped from our warehouse between Monday, June 10 and Wednesday, June 26.
You will receive it anywhere in United Kingdom between 1 and 3 business days after shipment.

Synopsis "risk management: approaches for fixed income markets"

Bei Finanzinstituten spielt das Risikomanagement eine immer grö ere Rolle. Dieses Buch wendet die neuesten Techniken zur Erstellung von Finanzmodellen auf das Risikomanagement festverzinslicher Wertpapiere an. Geschrieben von zwei erfahrenen Experten im Bereich Risikomanagement, bietet dieser Band eine faszinierende Mischung aus Wirtschaft und Finanzen, Mathematik und gesundem Menschenverstand.

Customers reviews

More customer reviews
  • 0% (0)
  • 0% (0)
  • 0% (0)
  • 0% (0)
  • 0% (0)

Frequently Asked Questions about the Book

All books in our catalog are Original.
The book is written in English.
The binding of this edition is Hardcover.

Questions and Answers about the Book

Do you have a question about the book? Login to be able to add your own question.

Opinions about Bookdelivery

More customer reviews