DERIVATIVES AND RISK MANAGEMENT / RAJIV SRIVASTAVA, Professor, Finance, Indian Institute of Foreign Trade, New Delhi.
Material type: TextEdition: Second editionDescription: xviii, 678 pages : illustrations ; 25 cmISBN: 9780198089155Subject(s): Derivative securities | Risk managementDDC classification: 658.314 LOC classification: HG6024.A3 | S685 2014Item type | Current library | Call number | Status | Date due | Barcode |
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BOOK | DBIT - MMS LIBRARY General Stacks | 658.314 SRI/DER (Browse shelf(Opens below)) | Available | 2695 |
"Online resources; www.oupinheonline.com: The following resources are available to help the faculty and students using this text: For faculty: Instructor's manual. PowerPint slides. For students: Multiple choice questions"--Cover page 4.
Includes index.
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