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|a 9780470998007 (v. 1)
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|a 9780470998014 (v. 2)
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|a 9780470997895 (v. 3)
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|a 9780470997888 (v.4)
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|l 41761
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|a DLC
|d GR-PeUP
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|a 332.015195 ALE
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1 |
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|a Alexander, Carol.
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|a Market risk analysis /
|c Carol Alexander.
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|a Chichester, England ;
|a Hoboken, NJ :
|b Wiley,
|c 2008.
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|a 4 τ. (xxvii, 290' xxx, 396' xxx, 386' xlii, 449 σ.) :
|b εικ. ;
|c 24 εκ. +
|e 4 οπτικοί δίσκοι Η/Υ.
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|a Περιέχει βιβλιογραφικές αναφορές και ευρετήριο.
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|a Τ.1. Quantitative methods in finance -- τ.2. Practical financial econometrics -- τ.3. Pricing, hedging, and trading financial instruments -- τ.4. Value-at-risk models.
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650 |
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4 |
|a Risk management.
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650 |
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|a Hedging (Finance).
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650 |
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4 |
|a Διαχείριση κινδύνου
|x Οικονομετρικά μοντέλα.
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650 |
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4 |
|a Χρηματοοικονομική ανάλυση.
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|c MAIN
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|d /webopac/covers/02/41761_9780470998007.jpg
|z (v. 1)
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|d /webopac/covers/02/41761_9780470998014.jpg
|z (v. 2)
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|d /webopac/covers/02/41761_9780470997895.jpg
|z (v. 3)
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|d /webopac/covers/02/41761_9780470997888.jpg
|z (v.4)
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