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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
Item | 133784003798 |
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Seller |
the_book_bouquet ( 1021 ⭐ ) 100.0% Location: Walnut Grove, US, Missouri Accept Payments With , |
Shipping | See shipping cost, Ships to United States, ... |
Guarantee | eBay Money Back Guarantee |
Condition | Good |
ISBN | 9781118738184 |
Book Title | Quantitative Financial Risk Management : Theory and Practice |
Book Series | Frank J. Fabozzi Ser. |
Publisher | Wiley & Sons, Incorporated, John |
Item Length | 9.3 in |
Publication Year | 2015 |
Format | Hardcover |
Language | English |
Illustrator | Yes |
Item Height | 1.4 in |
Author | Emilios Galariotis, Constantin Zopounidis |
Genre | Business & Economics |
Topic | Finance / Financial Risk Management, Finance / General |
Item Weight | 23.2 Oz |
Item Width | 6.4 in |
Number of Pages | 448 Pages |
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