This site may earn a commission as part of the eBay Partner Network and Amazon Associates Program if you make a purchase through our links.

Quantitative Financial Risk Management: Theory and Practice [Frank J. Fabozzi Se

Hand inspected by live bookworms! No writing or highlighting. Cover shows some wear and may have some bent corners or creases. Ships Fast! Same or next business day. Thanks for supporting a small family business!

47.01$ Buy It Now

Item133784003798Ebay Right Now
Seller the_book_bouquet ( 1021 ⭐ ) 100.0%
Location: Walnut Grove, US, Missouri
Accept Payments With ,
ShippingSee shipping cost, Ships to United States, ...
GuaranteeeBay Money Back Guarantee
ConditionGood
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

People who viewed this item also viewed

Explore more options

No more products to load