Sprache: Englisch
Verlag: Cambridge University Press (edition 1), 2014
ISBN 10: 0521177146 ISBN 13: 9780521177146
Anbieter: BooksRun, Philadelphia, PA, USA
Paperback. Zustand: Very Good. 1. It's a well-cared-for item that has seen limited use. The item may show minor signs of wear. All the text is legible, with all pages included. It may have slight markings and/or highlighting.
Anbieter: AwesomeBooks, Wallingford, Vereinigtes Königreich
EUR 32,23
Anzahl: 2 verfügbar
In den Warenkorbpaperback. Zustand: Very Good. Portfolio Theory and Risk Management (Mastering Mathematical Finance) This book is in very good condition and will be shipped within 24 hours of ordering. The cover may have some limited signs of wear but the pages are clean, intact and the spine remains undamaged. This book has clearly been well maintained and looked after thus far. Money back guarantee if you are not satisfied. See all our books here, order more than 1 book and get discounted shipping.
Sprache: Englisch
Verlag: Cambridge University Press -, 2014
ISBN 10: 0521177146 ISBN 13: 9780521177146
Anbieter: Bahamut Media, Reading, Vereinigtes Königreich
EUR 35,32
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In den Warenkorbpaperback. Zustand: Very Good. Shipped within 24 hours from our UK warehouse. Clean, undamaged book with no damage to pages and minimal wear to the cover. Spine still tight, in very good condition. Remember if you are not happy, you are covered by our 100% money back guarantee.
Sprache: Englisch
Verlag: Cambridge University Press, 2014
ISBN 10: 0521177146 ISBN 13: 9780521177146
Anbieter: Ria Christie Collections, Uxbridge, Vereinigtes Königreich
EUR 51,87
Anzahl: Mehr als 20 verfügbar
In den WarenkorbZustand: New. In.
Anbieter: Revaluation Books, Exeter, Vereinigtes Königreich
EUR 70,40
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In den WarenkorbPaperback. Zustand: Brand New. 160 pages. 8.00x5.00x0.50 inches. In Stock.
Sprache: Englisch
Verlag: Cambridge University Press, 2014
ISBN 10: 0521177146 ISBN 13: 9780521177146
Anbieter: Kennys Bookstore, Olney, MD, USA
Zustand: New. A rigorous account of classical portfolio theory and a simple introduction to modern risk measures and their limitations. Series: Mastering Mathematical Finance. Num Pages: 169 pages, 35 b/w illus. 75 exercises. BIC Classification: KFFM; PBT. Category: (P) Professional & Vocational; (U) Tertiary Education (US: College). Dimension: 229 x 151 x 9. Weight in Grams: 288. . 2014. 1st Edition. Paperback. . . . . Books ship from the US and Ireland.