Financial markets and institutions : An introduction to the risk management approach
Material type: TextPublication details: New Delhi McGraw Hill Education Pvt. Ltd. 2015Edition: Ed 3Description: 721 Paper BindingISBN:- 978-0-07-063581-4
- 332 SAU-Q5
Item type | Current library | Collection | Call number | Status | Date due | Barcode | |
---|---|---|---|---|---|---|---|
Books | SSCBS Library General Stacks | Text Book | 332 SAU-Q5 (Browse shelf(Opens below)) | Available | 19952 | ||
Books | SSCBS Library General Stacks | General Books | 332 SAU-Q5 (Browse shelf(Opens below)) | Available | 19953 |
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332 RIL-Q1 Finance : Management accounting and financial reporting | 332 RIL-Q1 Finance : Management accounting and financial reporting | 332 RIL-Q1 Finance : Management accounting and financial reporting | 332 SAU-Q5 Financial markets and institutions : An introduction to the risk management approach | 332 SIN-Q6 Behavioural finance | 332 SIN-Q6 Behavioural finance | 332 SIN-Q6 Behavioural finance |
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