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Portfolio Theory and Risk Management (Mastering Mathematical Finance)

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Portfolio Theory and Risk Management (Mastering Mathematical Finance)

Binding : Taschenbuch, Edition : New, Label : Cambridge University Press, Publisher : Cambridge University Press, PackageQuantity : 1, medium : Taschenbuch, numberOfPages : 170, publicationDate : 2014-09-29, releaseDate : 2014-09-29, authors : Capinski, Maciej J., ISBN : 0521177146

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