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Risk Management and Financial Derivatives: A Guide to the Mathematics meets the demand for a simple, nontechnical explanation of the methodology of risk management and financial derivatives. Risk Management and Financial Derivatives provides clear, concise explanations of the mathematics behind today's complex financial risk management topics. An ideal introduction for those new to the subject, it will also serve as an indispensable reference for those already experienced in the field.
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Previews available in: English
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Edition | Availability |
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1
Risk Management and Financial Derivatives: A Guide to the Mathematics
1998, Palgrave Macmillan Limited
in English
0333713974 9780333713976
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2
Risk management and financial derivatives: a guide to the mathematics
1998, McGraw Hill
in English
0070153787 9780070153783
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3
Risk management and financial derivatives: a guide to the mathematics
1997, McGraw-Hill
in English
0070153787 9780070153783
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Book Details
Edition Notes
Includes bibliographical references (p. xvii-xxvi) and index.
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Feedback?July 13, 2024 | Edited by MARC Bot | import existing book |
March 11, 2019 | Created by MARC Bot | import existing book |