• Shop by category
  • Powered by eBay
  • Risk Management and Analysis, Volume 1: Measuring and Modelling Financial Risk b

    • Item No : 388759925837
    • Condition : Brand New
    • Brand : No brand Info
    • Seller : the_nile_uk_store
    • Current Bid : US $119.68
    • * Item Description

    • Only one third of the original material remains. The book will provide a valuable source of reference material for both market participants and students.". John Hull, August 1998. As before, the authors are well known not only for their mastery of the subject matter but also for their expository skills.
    ★ Recommended Products Related To This Item
    ♥ Best Selling Products in this category