Risk management
Material type: TextLanguage: English Publisher: New Delhi Kalyani Publishers 2014Description: 282p. PB 23.5x17cmISBN: 9789327239560Subject(s): ManagementDDC classification: 658.155 Summary: Risk management; derivatives; risk management using options; commodity derivatives; interest rate markets; credit risk; value at risk.Item type | Current location | Collection | Call number | Status | Date due | Barcode | Item holds |
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Book | St Aloysius College PG Library | M Com | 658.155 BABR (Browse shelf) | Available | PG024073 |
Total holds: 0
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658.152 SINR Security analysis and portfolio management. | 658.152 SINY Fundamentals of investment management. | 658.154 WELB Budgeting: profit planning and control Ed 5. | 658.155 BABR Risk management | 658.155 BAGC Credit risk management: RBI/Basel II implications | 658.155 BAGC Credit risk management: RBI/Basel II implications | 658.155 BAGC Credit risk management: RBI/Basel II implications |
Risk management; derivatives; risk management using options; commodity derivatives; interest rate markets; credit risk; value at risk.
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