Condition: NEW. International Edition, Brand New, ISBN and Cover same but contents similar to U.S.Edition, Printed in Black White.No CDAccess code.
Legal to use despite any disclaimer, We ship to PO, APO and FPO adresses in U.S.A.Choose Expedited Shipping for FASTER DELIVERY.Customer Satisfaction Guaranteed. Arbitrage Pricing Theory and Multifactor Models of Risk and Return 11. Empirical Evidence on Security Returns Part IV: Fixed - Income Securities 14. Financial Statement Analysis Part VI: Options, Futures and Other Derivatives 20. Futures Markets 23. Futures, Swaps and Risk Management Part VII: Applied Portfolio Management 24. H edge Funds 27. The Theory of Active Portfolio Management 28. Investment Policy and the Framework of the CFA Institute Printed Pages: 1128.
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