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Quantitative Financial Risk Management: Theory and Practice by Zopounidis: Used

Good Used Hard cover

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ConditionGood
Publication Date2015-06-12
ISBN9781118738184
Book TitleQuantitative Financial Risk Management : Theory and Practice
Book SeriesFrank J. Fabozzi Ser.
PublisherWiley & Sons, Incorporated, John
Item Length9.3 in
Publication Year2015
FormatHardcover
LanguageEnglish
IllustratorYes
Item Height1.4 in
AuthorEmilios Galariotis, Constantin Zopounidis
GenreBusiness & Economics
TopicFinance / Financial Risk Management, Finance / General
Item Weight23.2 Oz
Item Width6.4 in
Number of Pages448 Pages

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