Record ID | harvard_bibliographic_metadata/ab.bib.09.20150123.full.mrc:200383705:877 |
Source | harvard_bibliographic_metadata |
Download Link | /show-records/harvard_bibliographic_metadata/ab.bib.09.20150123.full.mrc:200383705:877?format=raw |
LEADER: 00877cam a22003014a 4500
001 009196853-4
005 20030920142446.0
008 020402s2002 ne a b 001 0 eng
010 $a 2002104746
015 $aGBA3-14413
016 $a20020122896
020 $a0125588224
035 0 $aocm50609463
040 $aDLC$cDLC$dNLC$dUKM
042 $apcc
050 00 $aHG6015$b.P65 2002
055 01 $aHG6015
082 00 $a332.64/5$221
100 1 $aPoitras, Geoffrey,$d1954-
245 10 $aRisk management, speculation, and derivative securities /$cGeoffrey Poitras.
260 $aAmsterdam ;$aBoston :$bAcademic Press,$cc2002.
300 $axx, 601 p. :$bill. ;$c24 cm.
504 $aIncludes bibliographical references (p. 549-581) and index.
650 0 $aSpeculation.
650 0 $aDerivative securities.
650 0 $aRisk management.
988 $a20030920
906 $0DLC