Risk management and financial derivatives : a guide to the mathematics /

This book is divided into six parts: Introduction; Interest rates and yield curves; Derivative pricing; Investment management; Risk management; and Mathematical techniques.

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Opis bibliograficzny
Format: Książka
Język:English
Wydane: Basingstoke : Macmillan, 1997.
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008 010316|1997 vm 000 eng
020 |a 0333713974 
040 |a IRC  |c IRC  |d IRC 
041 0 |a eng 
082 1 4 |a 332.63201511  |b Ri-M 
245 0 0 |a Risk management and financial derivatives :  |n a guide to the mathematics /  |c Edited by Satyajit Das. 
260 |a Basingstoke :  |b Macmillan,  |c 1997. 
300 |a xxvi, 799 p. :  |b ill. ;  |c 23.5cm. 
520 3 |a This book is divided into six parts: Introduction; Interest rates and yield curves; Derivative pricing; Investment management; Risk management; and Mathematical techniques. 
630 0 4 |a Economics. 
650 0 4 |a Derivative securities  |x Mathematics. 
650 0 4 |a Risk management  |x Mathematics. 
OWN |a DUT 
999 |a From the UDN01 
TYP |a Monograph 
TYP |a Printed language 
980 |a Mạng thư viện Đại học Đà Nẵng