Description: This book is a valuable resource for anyone interested in credit risk management for derivatives. It provides comprehensive information on the subject and is perfect for end-users who want to understand the ins and outs of the industry. The book is written by Ivan Zelenko and was published in 2017 by Springer International Publishing A&G. It has 165 pages and weighs 121.4 ounces. The book is in English and the original language is also English. The book covers a range of topics including finance, financial risk management, decision-making, problem solving, finance in general, economics, and industries related to financial services. It is a non-fiction narrative type and is categorized under books and magazines. The book is not signed or inscribed and does not have an ex libris. Vintage collectors may not appreciate this book as it was published in 2017. Overall, this book is a must-have for anyone interested in credit risk management for derivatives and wants to gain a deeper understanding of the industry.
Price: 69.29 USD
Location: San Diego, California
End Time: 2024-12-16T21:39:55.000Z
Shipping Cost: 5.38 USD
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Item Specifics
Restocking Fee: No
Return shipping will be paid by: Seller
All returns accepted: Returns Accepted
Item must be returned within: 30 Days
Refund will be given as: Money Back
Book Title: Credit Risk Management for Derivatives
Signed: No
Ex Libris: No
Narrative Type: Nonfiction
Item Length: 8.3in
Publisher: Springer International Publishing A&G
Original Language: English
Inscribed: No
Vintage: No
Pages: 165
Publication Year: 2017
Format: Hardcover
Publication Date: 2017-07-28
Language: English
Author: Ivan Zelenko
Personalized: No
Genre: Business & Economics
Topic: Finance / Financial Risk Management, Decision-Making & Problem Solving, Finance / General, Economics / Macroeconomics, Industries / Financial Services
Item Width: 5.8in
Item Weight: 121.4 Oz
Number of Pages: 165 Pages