Introduction to the mathematics of finance: From risk manage

Roman, Steven

Introduction to the mathematics of finance: From risk manage - New York Springer-Verlag 2004 - xiv; 354p - Undergraduate texts in mathematics .

0-387-21375-9


Portfolio management-Mathematical models
Capital assets pricing model
Investments-Mathematics
Financial economics
Economics

332.0151/ROM

For any Suggestions or Query, please contact the library staff @ lib@igidr.ac.in or Phone: 022-69096504/69096563