Description: TITLE: Understanding Risk : the Theory and Practice of Financial Risk ManagementAUTHOR: David Murphy CONDITION:Very Good Condition. Content is clean like new but paperback cover has some shelf wear. This book came from my own personal library and has never been read. May contain shelf wear from storage. Terms of Sale:In most cases, items will be shipped within 24 hours. I shall make an attempt to notify you of shipping delay when one occurs,All sales are final. No return shall be accepted,Shipping using USPS Media Mail (Takes Longer). Book will be shipped using Kraft Bubble Mailer. For heavier books, they may be shipped in a box. You can select USPS Ground Advantage or Priority Mail for faster delivery. Shipping Cost is automatically calculated by Ebay. Please contact me if you need me to set up overnight or 2-day service.International Buyers through Ebay International Shipping Only.Please feel free to contact me with any questions, A reply will be made as soon as possible.BIN 04
Price: 67.99 USD
Location: Orange, California
End Time: 2024-11-16T08:44:47.000Z
Shipping Cost: 6.88 USD
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Item Specifics
All returns accepted: ReturnsNotAccepted
Country/Region of Manufacture: United States
Item Length: 10in
Item Height: 1in
Item Width: 7.2in
Author: David Murphy
Publication Name: Understanding Risk : the Theory and Practice of Financial Risk Management
Format: Trade Paperback
Language: English
Publisher: CRC Press LLC
Publication Year: 2008
Series: Chapman and Hall/Crc Financial Mathematics Ser.
Type: Textbook
Item Weight: 32.1 Oz
Number of Pages: 472 Pages