Portfolio and risk management / R K Mottal
By: Mittal, R K.
Material type: BookPublisher: New Delhi : Rajat Publication Description: vi, 285 p. : ill. ; 23 cm.ISBN: 8187317272.Subject(s): Banks and banking | Sovereign wealth funds | Investments, Foreign | Portfolio management | Risk managementDDC classification: 332.110681Item type | Current location | Call number | Copy number | Status | Date due | Barcode | Item holds |
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Books | Central Library, KUET General Stacks | 332.110681 MIT (Browse shelf) | 1 | Available | 3010026491 | ||
Books | Central Library, KUET General Stacks | 332.110681 MIT (Browse shelf) | 2 | Available | 3010026493 | ||
Books | Central Library, KUET General Stacks | 332.110681 MIT (Browse shelf) | 3 | Available | 3010026492 | ||
Books | Central Library, KUET General Stacks | 332.110681 MIT (Browse shelf) | 4 | Available | 3010026490 | ||
Books | Central Library, KUET General Stacks | 332.110681 MIT (Browse shelf) | 5 | Available | 3010026494 |
Total holds: 0
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332.110681 MIT Portfolio and risk management / | 332.110681 MIT Portfolio and risk management / | 332.110681 MIT Portfolio and risk management / | 332.110681 MIT Portfolio and risk management / | 332.110681 MIT Portfolio and risk management / | 332.4 MEY Monetary economics and financial markets / | 332.4 MEY Monetary economics and financial markets / |
Includes bibliographical references.
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