Description
- ISBN-10: 9354494706
- ISBN-13: 978-9354494703
- Edition: Second
- Publisher: Pearson Education
- Publication date: 1 September 2021
- Language: English
- Dimensions: 20.3 x 25.4 x 4.7 cm
- Print length: 540 pages
Original price was: ₹950.00.₹902.50Current price is: ₹902.50.
Explore the intricate world of finance with ‘Derivatives and Risk Management,’ the essential textbook for postgraduate commerce, finance, and management students. Published by Pearson Education, this second edition offers a clear and engaging introduction to fundamental concepts, packed with practical examples, problems, and case studies. Perfect for those seeking to grasp the Indian derivatives market, it’s an invaluable resource for fund managers, risk-management specialists, treasury managers, and CFA examination candidates. ‘The Bookish Owl’ proudly presents this comprehensive guide to mastering derivatives and robust risk management strategies.
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