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Finansal risk yönetimi çerçevesinde piyasa volatilitesinintahmini ve portföy var hesaplamaları / (Sevil, Güven.)
Bibliographical information (record 115096)
Finansal risk yönetimi çerçevesinde piyasa volatilitesinintahmini ve portföy var hesaplamaları /
Author:
Sevil, Güven.
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Publisher:
Anadolu Üniversitesi,
ISBN:
9750600673
Edition:
2001.
Classification:
HG6024.A3
Detailed notes
- Bibliography :p.[107]-116.
Related links
-
Financial futures
-
Risk Management
-
Portfolio management
Items (1)
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Library
Section
3217568270
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NEU Grand LibraryGrnd Floor (HG6024.A3 S48 2001)
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