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Quantitative Risk and Portfolio Management : Theory and Practice, Hardcover by Winston, Kenneth J., ISBN 1009209043, ISBN-13 9781009209045, Like New Used, Free shipping in the US
74.68$ Buy It Now
Item | 364488781167 |
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Seller |
greatbookprices1 ( 314102 ⭐ ) 96.5% Location: Jessup, US, Maryland Accept Payments With , |
Shipping | See shipping cost, Ships to Worldwide, ... |
Guarantee | eBay Money Back Guarantee |
Condition | Like New |
ISBN | 9781009209045 |
Book Title | Quantitative Risk and Portfolio Management : Theory and Practice |
Publisher | Cambridge University Press |
Item Length | 10.2 in |
Publication Year | 2023 |
Format | Hardcover |
Language | English |
Illustrator | Yes |
Item Height | 1.3 in |
Author | Kenneth Winston |
Genre | Business & Economics |
Topic | Finance / General |
Item Width | 7.2 in |
Number of Pages | 927 Pages |
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