Credit Derivatives and the Management of Risk (New York Institute of Finance).
6 Angebote vergleichen
Bester Preis: € 2,01 (vom 29.03.2018)1
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Credit Derivatives and the Management of Risk (New York Institute of Finance) (1999)
EN PB US
ISBN: 9780735201040 bzw. 0735201048, in Englisch, Prentice-Hall, Taschenbuch, gebraucht.
Lieferung aus: Vereinigtes Königreich Großbritannien und Nordirland, plus shipping, Shipping area: EUR.
Von Händler/Antiquariat, Greener Books, London, [RE:4].
**SHIPPED FROM UK** We believe you will be completely satisfied with our quick and reliable service. All orders are dispatched as swiftly as possible! Buy with confidence! Mass Market Paperback.
Von Händler/Antiquariat, Greener Books, London, [RE:4].
**SHIPPED FROM UK** We believe you will be completely satisfied with our quick and reliable service. All orders are dispatched as swiftly as possible! Buy with confidence! Mass Market Paperback.
2
Symbolbild
Credit Derivatives and the Management of Risk (New York Institute of Finance) (1999)
EN HC US
ISBN: 9780735201040 bzw. 0735201048, in Englisch, Prentice Hall Press, gebundenes Buch, gebraucht.
Lieferung aus: Vereinigtes Königreich Großbritannien und Nordirland, plus shipping, Shipping area: EUR.
Von Händler/Antiquariat, GUY'S BOOKS, BEDFORDSHIRE, LUTON, [RE:4].
FINE COPY, NEVER USED, WITH SOME WEAR. FAST SHIPPING FROM UK WITH PROMPT SERVICE, BUBBLE WRAP. Oct 01, 1999.
Von Händler/Antiquariat, GUY'S BOOKS, BEDFORDSHIRE, LUTON, [RE:4].
FINE COPY, NEVER USED, WITH SOME WEAR. FAST SHIPPING FROM UK WITH PROMPT SERVICE, BUBBLE WRAP. Oct 01, 1999.
3
Symbolbild
Credit Derivatives and the Management of Risk (New York Institute of Finance). (1999)
EN PB NW
ISBN: 9780735201040 bzw. 0735201048, in Englisch, Prentice Hall Press, Taschenbuch, neu.
Von Händler/Antiquariat, unifachbuch [50977549], Köln, NRW, Germany.
Unbenutzte Restauflage Unbenutzt. Schnelle Lieferung, Kartonverpackung. Abzugsfähige Rechnung. Bei Mehrfachbestellung werden die Versandkosten anteilig erstattet. - Credit derivatives are revolutionising the world of investment. But without a firm understanding of their mechanics and their bottom-line impact, these hot financial instruments can bring devastating losses. An international authority on risk management, Dr. Dimitris N. Chrorafas draws on his own experience and the insights of over 70 senior executives at nearly 50 organisations worldwide to bring to the reader the market for credit derivatives, the instruments which make trading in credit derivatives possible and the models which are applicable for the management of credit risk. 352 pp. Englisch.
Unbenutzte Restauflage Unbenutzt. Schnelle Lieferung, Kartonverpackung. Abzugsfähige Rechnung. Bei Mehrfachbestellung werden die Versandkosten anteilig erstattet. - Credit derivatives are revolutionising the world of investment. But without a firm understanding of their mechanics and their bottom-line impact, these hot financial instruments can bring devastating losses. An international authority on risk management, Dr. Dimitris N. Chrorafas draws on his own experience and the insights of over 70 senior executives at nearly 50 organisations worldwide to bring to the reader the market for credit derivatives, the instruments which make trading in credit derivatives possible and the models which are applicable for the management of credit risk. 352 pp. Englisch.
4
Credit Derivatives and the Management of Risk (New York Institute of Finance). (1999)
~EN PB NW
ISBN: 9780735201040 bzw. 0735201048, vermutlich in Englisch, Prentice Hall Press, Taschenbuch, neu.
Von Händler/Antiquariat, unifachbuch [50977549], Köln, NRW, Germany.
Unbenutzte Restauflage Unbenutzt. Schnelle Lieferung, Kartonverpackung. Abzugsfähige Rechnung. Bei Mehrfachbestellung werden die Versandkosten anteilig erstattet. - Credit derivatives are revolutionising the world of investment. But without a firm understanding of their mechanics and their bottom-line impact, these hot financial instruments can bring devastating losses. An international authority on risk management, Dr. Dimitris N. Chrorafas draws on his own experience and the insights of over 70 senior executives at nearly 50 organisations worldwide to bring to the reader the market for credit derivatives, the instruments which make trading in credit derivatives possible and the models which are applicable for the management of credit risk. 352 pp. Englisch.
Unbenutzte Restauflage Unbenutzt. Schnelle Lieferung, Kartonverpackung. Abzugsfähige Rechnung. Bei Mehrfachbestellung werden die Versandkosten anteilig erstattet. - Credit derivatives are revolutionising the world of investment. But without a firm understanding of their mechanics and their bottom-line impact, these hot financial instruments can bring devastating losses. An international authority on risk management, Dr. Dimitris N. Chrorafas draws on his own experience and the insights of over 70 senior executives at nearly 50 organisations worldwide to bring to the reader the market for credit derivatives, the instruments which make trading in credit derivatives possible and the models which are applicable for the management of credit risk. 352 pp. Englisch.
5
Credit Derivatives and the Management of Risk
EN US
ISBN: 0735201048 bzw. 9780735201040, in Englisch, Prentice Hall Press, gebraucht.
Lieferung aus: Vereinigte Staaten von Amerika, In Stock.
Die Beschreibung dieses Angebotes ist von geringer Qualität oder in einer Fremdsprache. Trotzdem anzeigen
Die Beschreibung dieses Angebotes ist von geringer Qualität oder in einer Fremdsprache. Trotzdem anzeigen
6
Symbolbild
Credit Derivatives and the Management of Risk (New York Institute of Finance) (1999)
EN HC US FE
ISBN: 9780735201040 bzw. 0735201048, in Englisch, Prentice Hall Press, gebundenes Buch, gebraucht, Erstausgabe.
Lieferung aus: Vereinigte Staaten von Amerika, plus shipping, Shipping area: DOM.
Von Händler/Antiquariat, Robinson Street Books, NY, Binghamton, [RE:5].
Hardcover.
Von Händler/Antiquariat, Robinson Street Books, NY, Binghamton, [RE:5].
Hardcover.
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