The credit risk of complex derivatives
By: Banks, Erik.
Material type: BookPublisher: Hampshire : Macmillan Business, 1997Edition: 2nd ed.Description: 393 p.Call No.: HG6024 .A3 B364C 1997 Subject(s): DERIVATIVE SECURITIES | RISK MANAGEMENTCurrent location | Call number | Status | Date due | Barcode |
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Main Campus Book Shelves | HG6024 .A3 B364C 1997 (Browse shelf) | Available | 214284 |
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HG6024 .A3 A439S The streetsmart guide to timing the stock market : | HG6024 .A3 B364C Credit risk of financial instruments | HG6024 .A3 B364C Credit risk of financial instruments | HG6024 .A3 B364C 1997 The credit risk of complex derivatives | HG6024 .A3 B544U Understanding arbitrage : | HG6024 .A3 B623V Valuing fixed income futures / | HG6024 .A3 B626F Futures and markets trading in commodities and financials |
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