Derivatives and portfolio mananagement : CFA program curriculum. Vol. 6 : Level 2 2012 /
Material type: BookPublisher: [Charlottesville, Va.] : [Boston, MA] : CFA Institute ; Pearson, c2012.Description: 1 v. various paging : ill. ; 28 cm.ISBN: 9780558925147Other title: Chartered Financial Analyst program curriculum.Uniform titles: CFA program curriculum Subject(s): Investment analysis -- Examinations -- Study guides | Investment advisors -- Examinations -- Study guides | Securities -- Examinations -- Study guides | Portfolio management -- Examinations -- Study guidesDDC classification: 332.6076 DE RI Online resources: Location MapItem type | Home library | Call number | Status | Date due | Barcode | Item holds |
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REGULAR | University of Wollongong in Dubai Main Collection | 332.6076 DE RI (Browse shelf) | Available | T0030503 |
Total holds: 0
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332.6028563 CO MP Computational intelligence techniques for trading and investment / | 332.6042 HA GR The green investing handbook : | 332.6042 PE IN Investment ethics / | 332.6076 DE RI Derivatives and portfolio mananagement : | 332.6076 SC HW Schwesernotes for the CFA exam, 2012 : | 332.6076 SC HW Schwesernotes for the CFA exam, 2012 : | 332.6076 SC HW Schwesernotes for the CFA exam, 2012 : |
Includes indexes.
v. 1. Ethical and professional standards, quantitative methods, and economics -- v. 2. Financial reporting and analysis-- v. 3. Corporate finance -- v.4. Equity -- v. 5. Alternative investments and fixed income-- v. 6. Derivatives and portfolio management