000 | 01076cam a22002654i 4500 | ||
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001 | 18355781 | ||
005 | 20170320154629.0 | ||
008 | 141031s2014 ii a 001 0 eng | ||
010 | _a 2014419301 | ||
020 | _a9780198089155 | ||
040 |
_aDLC _cDLC _erda |
||
050 | 0 | 0 |
_aHG6024.A3 _bS685 2014 |
082 |
_a658.314 _bSRI/DER |
||
100 | 1 | _aSrivastava, Rajiv. | |
245 | 1 | 0 |
_aDERIVATIVES AND RISK MANAGEMENT / _cRAJIV SRIVASTAVA, Professor, Finance, Indian Institute of Foreign Trade, New Delhi. |
250 | _aSecond edition. | ||
300 |
_axviii, 678 pages : _billustrations ; _c25 cm |
||
500 | _a"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. | ||
500 | _aIncludes index. | ||
650 | 0 | _aDerivative securities. | |
650 | 0 | _aRisk management. | |
906 |
_a7 _bcbc _corigcop _d2 _encip _f20 _gy-gencatlg |
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942 |
_2ddc _cBK |
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999 |
_c5869 _d5869 |