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Mastering Mathematical Finance Ser.: Portfolio Theory and Risk Management by Maciej J. Capiński and Ekkehard Kopp (2014, Hardcover)
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kollectablesuk (3376)
99.4% positive feedback
Price:
GBP 29.99
Approximately
S$ 51.83
+ 27.03 shipping
Est. delivery
Wed, 3 Sep - Thu, 11 Sep
Estimated delivery Wed, 3 Sep - Thu, 11 Sep
Returns:
30 days return
.
Buyer pays for return shipping. If you use an eBay shipping label, it will be deducted from your refund amount
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Condition:
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About this product
Product Identifiers
Publisher
Cambridge University Press
ISBN-10
1107003679
ISBN-13
9781107003675
eBay Product ID (ePID)
209559457
Product Key Features
Number of Pages
172 Pages
Publication Name
Portfolio Theory and Risk Management
Language
English
Subject
Investments & Securities / Portfolio Management, Decision-Making & Problem Solving, Investments & Securities / Analysis & Trading Strategies, Statistics
Publication Year
2014
Type
Textbook
Author
Maciej J. CapińSki, Ekkehard Kopp
Subject Area
Business & Economics
Series
Mastering Mathematical Finance Ser.
Format
Hardcover
Dimensions
Item Height
0.4 in
Item Weight
14.1 oz.
Item Length
9 in
Item Width
6 in
Additional Product Features
Intended Audience
Scholarly & Professional
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Portfolio Theory and Risk Management (Mastering Mathematical Finance), Kopp, Ekk
item 1 Portfolio Theory and Risk Management (Mastering Mathematical Finance), Kopp, Ekk
S$ 51.83
+S$ 42.05 postage
Portfolio Theory and Risk Management (Mastering Mathematical Finance), Kopp, Ekk
item 2 Portfolio Theory and Risk Management (Mastering Mathematical Finance), Kopp, Ekk
S$ 81.34
+S$ 43.64 postage
Portfolio Theory and Risk Management Capiński Kopp Hardback 9781107003675
item 3 Portfolio Theory and Risk Management Capiński Kopp Hardback 9781107003675
S$ 117.73
+S$ 24.53 postage
Capinski - Portfolio Theory and Risk Management - New hardback or case - P555z
item 4 Capinski - Portfolio Theory and Risk Management - New hardback or case - P555z
S$ 151.03
+S$ 34.34 postage
Portfolio Theory and Risk Management - 9781107003675
item 5 Portfolio Theory and Risk Management - 9781107003675
S$ 125.00
+S$ 62.52 postage
Portfolio Theory and Risk Management by Ekkehard Kopp (English) Hardcover Book
item 6 Portfolio Theory and Risk Management by Ekkehard Kopp (English) Hardcover Book
S$ 212.55
+S$ 127.24 postage
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