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Risk management and derivatives /

By: Stulz, Rene M
Material type: BookPublisher: Mason, OH : Thomson/South-Western, c2003.Description: xxii, 676 p. : ill ; 26 cm.ISBN: 9780538861014Program: FIN956Subject(s): Risk management | DerivativesDDC classification: 0 Online resources: Location Map
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Item type Home library Call number Status Date due Barcode Item holds
REGULAR University of Wollongong in Dubai
Main Collection
332.645 ST RI (Browse shelf) Available T0037228
REGULAR University of Wollongong in Dubai
Main Collection
332.645 ST RI (Browse shelf) Available T0037229
Total holds: 0

Includes bibliographical references and index.

Table of content Part 1 Why risk management? Part 2 Hedging with forwards, Futures, and Options contracts Part 3 Beyond plain Vanilla risk management Part 4 Conclusion.

FIN956

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