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Quantitative Financial Risk Management (Wiley Finance), Miller, Michael B., 9781

Description: This textbook titled "Quantitative Financial Risk Management" is a comprehensive guide for anyone studying finance. The author, Michael B. Miller, covers various topics such as risk management, derivatives, and mathematical models to help students understand the complexities of the financial world. The book is published by Wiley & Sons, Incorporated, John and is part of the Wiley Finance Ser. series. The hardcover book has a length of 10.2in, a height of 1.2in, and a width of 7.1in. It has 320 pages and weighs 23.2 Oz. The book is in English and was published in 2018. This textbook is ideal for anyone studying finance and wants to gain a deeper understanding of the subject.

Price: 14.95 USD

Location: Nashville, Tennessee

End Time: 2024-12-03T00:47:51.000Z

Shipping Cost: 6.13 USD

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Quantitative Financial Risk Management (Wiley Finance), Miller, Michael B., 9781

Item Specifics

Restocking Fee: No

Return shipping will be paid by: Buyer

All returns accepted: Returns Accepted

Item must be returned within: 30 Days

Refund will be given as: Money Back

Book Title: Quantitative Financial Risk Management (Wiley Finance)

Number of Pages: 320 Pages

Publication Name: Quantitative Financial Risk Management

Language: English

Publisher: Wiley & Sons, Incorporated, John

Item Height: 1.2 in

Publication Year: 2018

Subject: Finance / Financial Risk Management, Finance / General

Type: Textbook

Item Weight: 23.2 Oz

Author: Michael B. Miller

Subject Area: Business & Economics

Item Length: 10.2 in

Series: Wiley Finance Ser.

Item Width: 7.1 in

Format: Hardcover

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