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Financial derivatives and market risk management. Part I

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Financial derivatives and market risk management. Part I, Jiří Witzany

Language
Released
2011
Binding
(Paperback)
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Title
Financial derivatives and market risk management. Part I
Language
English
Publisher
Oeconomica
Released
2011
Format
Paperback
ISBN10
8024518112
ISBN13
9788024518114
Series