THEORY OF FINANCIAL RISK AND DERIVATIVE PRICING : FROM STATISTICAL PHYSICS TO RISK MANAGEMENT
Material type: TextLanguage: ENGLISH Publication details: CAMBRIDGE UNIVERSITY PRESS.; 2011Edition: 2Description: 379 pISBN:- 9.78052E+12
- 658.15 BOU (MBA)
- JEA
Item type | Current library | Call number | Materials specified | Status | Notes | Date due | Barcode |
---|---|---|---|---|---|---|---|
Book | Sri Krishna College of Engineering and Technology MBA RACK 2 / SHELF 63 | 658.15 BOU (MBA) (Browse shelf(Opens below)) | PAPER PACK | Available | MBA | 62636 |
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658 CHA (MBA) MANAGEMENT : CONCEPTS AND STRATEGIES | 658 DUB (MBA) ESSENTIALS OF MANAGEMENT | 658.1 (MBA) ECONOMIC ENVIRONMENT OF BUSINESS | 658.15 BOU (MBA) THEORY OF FINANCIAL RISK AND DERIVATIVE PRICING : FROM STATISTICAL PHYSICS TO RISK MANAGEMENT | 658.15 GIT (MBA) PRINCIPLES OF MANAGERIAL FINANCE | 658.15 KEV (MBA) COMMODITY AND FINANCIAL DERIVATIONS | 658.15 KHA (MBA) FINANCIAL SERVICES |
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