Risk Management & Derivatives: A Practical Handbook for Traders and Analysts: Financial Risk and Derivative Strategies for Real-World Trading Success (The Quantitative Finance Handbook Series)

Risk Management & Derivatives: A Practical Handbook for Traders and Analysts: Financial Risk and Derivative Strategies for Real-World Trading Success (The Quantitative Finance Handbook Series)

Independently published

Pages: 446, Hardcover, Independently published

Compare prices (1 shop)

shop Price Action
44,35 GBP Go to shop

Similar products