Risk management and financial derivatives : a guide to the mathematics / edited by Satyajit Das.
Material type: TextPublisher: New York McGraw Hill 1997Description: xxvi, 799p. 26cmISBN: 0070153787Subject(s): Derivative securities -- Mathematical models | Investment analysis -- Mathematical models | Risk management -- Mathematical modelsDDC classification: 332.645 RIS 1997Item type | Current location | Call number | Materials specified | Copy number | Status | Date due | Barcode |
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Book-REF | Perpustakaan Ibnu Khaldun Reference | 332.645 RIS 1997 (Browse shelf) | 16262 | Not for loan | 0000017339 | ||
Book-REF | Perpustakaan Ibnu Khaldun Reference | 332.645 RIS 1997 (Browse shelf) | 16263 | Not for loan | 0000017340 | ||
Book-REF | Perpustakaan Ibnu Khaldun Reference | 332.645 RIS 1997 (Browse shelf) | 16264 | Not for loan | 0000017341 |
Browsing Perpustakaan Ibnu Khaldun shelves, Shelving location: Reference Close shelf browser
332.632819 BRI 2000 The CRB commodity yearbook 2000 | 332.632819 BRI 2000 The CRB commodity yearbook 2000 | 332.645 RIS 1997 Risk management and financial derivatives : a guide to the mathematics | 332.645 RIS 1997 Risk management and financial derivatives : a guide to the mathematics | 332.645 RIS 1997 Risk management and financial derivatives : a guide to the mathematics | 333.7 ENV 2005 The environmental communication yearbook | 333.714 AER 2010 Manual of environmental analysis |
Includes index
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