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The second edition of Derivatives and Risk Management serves as a textbook for an introductory course on derivatives and risk management.

Produktbeschreibung
The second edition of Derivatives and Risk Management serves as a textbook for an introductory course on derivatives and risk management.
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Autorenporträt
Rajiv Srivastava is presently Professor, Financial Management, Derivatives and Risk Management, Security Analysis and Portfolio Management, and International Financial and Forex Management, at Indian Institute of Foreign Trade, New Delhi. Prof Srivastava has 35 years of experience in working with reputed organizations such as the State Bank of India, Rajasthan Breweries, CMC Ltd and Flex Industries Ltd. He is the co-author of Financial Management 2/e (OUP, 2010).