Derivatives: valuation and risk management David A. Dubofsky
Material type: TextPublication details: New York Oxford University Press 2002Description: xxv, 646pISBN: 0195114701Subject(s): Risk Management | Derivative securitiesDDC classification: 332.632 DUBItem type | Current library | Collection | Call number | Vol info | Status | Date due | Barcode | Item holds |
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TEXT BOOK | LRC_JUIT Humanities and Social Sciences | TEXTBOOK SECTION | 332.632 DUB (Browse shelf (Opens below)) | Copy 1 | Available | 011267 |
Total holds: 0
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332.62 KEV Portfolio Management | 332.62 KEV Portfolio Management | 332.62 REI Investment Analysis and Portfolio Management | 332.632 DUB Derivatives: valuation and risk management | 332.632 HUL Options, Futures, and Other Derivatives | 332.632 HUL Options, Futures, and Other Derivatives | 332.632 HUL Options, Futures, and Other Derivatives |
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