Mastering Mathematical Finance Ser.: Portfolio Theory and Risk Management by Maciej J. Capiński and Ekkehard Kopp (2014, Hardcover)

BOOKS etc. (552440)
99.6% positive feedback
Price:
GBP 72.32
ApproximatelyS$ 125.34
+ 41.36 shipping
Estimated delivery Fri, 5 Sep - Fri, 12 Sep
Returns:
60 days return. Buyer pays for return shipping. If you use an eBay shipping label, it will be deducted from your refund amount.
Condition:
Brand New

About this product

Product Identifiers

PublisherCambridge University Press
ISBN-101107003679
ISBN-139781107003675
eBay Product ID (ePID)209559457

Product Key Features

Number of Pages172 Pages
Publication NamePortfolio Theory and Risk Management
LanguageEnglish
SubjectInvestments & Securities / Portfolio Management, Decision-Making & Problem Solving, Investments & Securities / Analysis & Trading Strategies, Statistics
Publication Year2014
TypeTextbook
AuthorMaciej J. CapińSki, Ekkehard Kopp
Subject AreaBusiness & Economics
SeriesMastering Mathematical Finance Ser.
FormatHardcover

Dimensions

Item Height0.4 in
Item Weight14.1 oz.
Item Length9 in
Item Width6 in

Additional Product Features

Intended AudienceScholarly & Professional

All listings for this product

Buy It Now
Any Condition
New
Pre-owned
No ratings or reviews yet
Be the first to write a review