Mathematical methods for finance : tools for asset & risk management
By: Focardi, Sergio M.
Contributor(s): Fabozzi, Frank J | Bali, Turan G.
Material type: TextPublisher: New Jersey : John Wiley & Sons, , (2013)Description: 302 p. ; 22 cm.ISBN: 9781118312636.Subject(s): Risk managementDDC classification: 658.155Item type | Current location | Collection | Call number | Copy number | Status | Date due | Barcode | Item holds |
---|---|---|---|---|---|---|---|---|
Scheduled Reference Materials | Main Library Scheduled Reference Division | Scheduled Reference Collection | 658.155 FOC (Browse shelf) | 1 | Available | 210103 | ||
Lending Materials | Main Library Lending Division | Lending Collection | 658.155 FOC (Browse shelf) | 2 | Available | 218163 |
Total holds: 0
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658.155 CHA CIMA. subject P3, risk management | 658.155 CHA Strategic level. subject P3, risk management. exam practice kit. | 658.155 DAM Strategic risk taking | 658.155 FOC Mathematical methods for finance | 658.155 FRO How to use cost benefit analysis in project appraisal. | 658.155 FRO How to use cost benefit analysis in project appraisal. | 658.155 HEL Project manager's spotlight on risk management |
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