GetTextbooks.com
Compare Prices & Save up to 90%
Search by ISBN, title, author, etc ...
Login
|
Sign up
|
Settings
|
My Wish List
Books 1 - 1 of 1 |
Previous
|
Next
Derivative Strategies for Managing Portfolio Risk
by
Keith C. Brown
,
Don
M
. Chance
,
Roger
G
. Clarke
,
Murali Ramaswami
,
Matthew R. Smith
,
Eric S. Reiner
,
Ira
G
.
Kawaller
,
Robert
W
.
Kopprasch
;
David
F
.
DeRosa
;
Gary
L
.
Gastineau
;
Joanne
M
.
Hill
,
Henry
M
. McMillan
,
Nederlof Maarten
L
,
Donald
L
. Luskin; Lloyd McAdams
Paperback
, 141 Pages
, Published 1993 by AIMR (CFA Institute)
Compare Prices
|
Add to Wish List
|
Set Price Alert
Books 1 - 1 of 1 |
Previous
|
Next
Home
|
Browse
|
Professors
|
Merchants
|
Webmasters
|
Contact Us
[
Canada
|
United Kingdom
]
[
CDs
|
DVDs
]
Copyright © 2003-2008
GetTextbooks.com