Derivatives and risk management by Rajiv Srivastava
Publication details: New Delhi Oxford University Press 2015 Edition: 2nd edDescription: 678pISBN: 9780198089155Subject(s): Commerce | Risk management | Derivative securities | Derivative securities-mathematical modelsDDC classification: 332.632| Item type | Current library | Collection | Call number | Status | Date due | Barcode |
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Central University Of Rajasthan | General Text Book | 332.632 S38D (Browse shelf(Opens below)) | Available | 21776 |
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| 332.632 C47F Financial derivatives: the currency and rates factor | 332.632 C47F Financial derivatives: the currency and rates factor | 332.632 R93I An introduction to stock exchange investment | 332.632 S38D Derivatives and risk management | 332.6320151 I8I An introduction to the mathematics of financial derivatives | 332.632042 K38S Stochastic financial models | 332.632042 L51I ia is not equal to ai : investment analytics in the dawn of artificial intelligence |

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