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| Title |
RISK MANAGEMENT AND FINANCIAL DERIVATIVES |
| Author |
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| Publication
Date |
31/07/1998 |
| Description |
A non-technical explanation of the mathematical basis of risk and derivatives in the FINANCE AND CAPITAL MARKETS series. The text also looks at the application of the techniques in a number of common settings. |
| ISBN |
333713974 |
| Publisher |
PALGRAVE MACMILLAN |
| Book Type |
Hardback |
| . |
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| Other
Titles |
CREDIT DERIVATIVES AND SYNTHETIC STRUCTURES - FRANK J. FABOZZI |
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STATISTICAL MECHANICS OF FINANCIAL MARKETS - J. VOIT |
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