Scenario Analysis in Risk Management: Theory and similar items
Scenario Analysis in Risk Management: Theory and Practice in Finance by Hassani
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Item traits
Category: | |
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Quantity Available: |
Only one in stock, order soon |
Condition: |
Brand New |
Format: |
Hardcover |
Type: |
Textbook |
Language: |
English |
Publication Year: |
2016 |
Pages: |
162 |
Publication Date: |
2016-11-04 |
Genre: |
Finance |
Subject: |
Finance |
Item Length: |
9.3in. |
Item Width: |
6.1in. |
Author: |
Bertrand Hassani |
Publication Name: |
Scenario Analysis in Risk Management : Theory and Practice in Finance |
Publisher: |
Springer International Publishing A&G |
Item Weight: |
137.9 Oz |
Number of Pages: |
Xiii, 162 Pages |
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Shipping discount: |
Seller pays shipping for this item. |
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Posted for sale: |
More than a week ago |
Item number: |
1419756326 |
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