Portfolio Theory and Risk Management (Mastering Mathematical Finance)

Book 6 of 8: Mastering Mathematical Finance

Capinski, Maciej J. Maciej J. Capinski,

ISBN 10: 0521177146 ISBN 13: 9780521177146
Published by Cambridge University Press -, 2014
Language: English
Condition: Used - Very good Soft cover

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Used - Soft cover

Condition: Used - Very good

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