Risk management and financial derivatives : a guide to the mathematics

Other Authors: Das, Satyajit
Published: New York: McGraw-Hill, 1998.
Subjects:
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005 20170218090000.0
020 |a 0070153787 (hbk.)  
090 0 0 |a HG6024.A3   |b R57 1998 
245 0 0 |a Risk management and financial derivatives :   |b a guide to the mathematics   |c edited by Satyajit Das. 
260 |a New York:   |b McGraw-Hill,   |c 1998. 
300 |a xxvi, 799 p.:   |b ill.;   |c 24 cm. 
504 |a Includes bibliographical references and index 
650 0 0 |a Investment analysis --   |x Mathematical models  
650 0 0 |a Derivative securities --   |x Mathematical models  
650 0 0 |a Risk management --   |x Mathematical models  
700 1 |a Das, Satyajit  
997 |a Engineering, Faculty  |b Engineering, Department 
997 |a Business & Accountancy, Faculty 
999 |a 0000007625  |b BOK  |c OPEN SHELF  |e 1st Floor, Shah Alam