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Scenario Analysis in Risk Management: Theory and Practice in Finance by Hassani

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Estimated to arrive by Thu, Jan 9th. Details
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Shipping options

Estimated to arrive by Thu, Jan 9th. Details
FREE via USPS Media Mail (2 to 9 business days) to United States

Offer policy

OBO - Seller accepts offers on this item. Details

Return policy

Full refund available within 30 days

Purchase protection

Payment options

PayPal accepted
PayPal Credit accepted
Venmo accepted
PayPal, MasterCard, Visa, Discover, and American Express accepted
Maestro accepted
Amazon Pay accepted

Item traits

Category:

Adult Learning & University

Quantity Available:

Only one in stock, order soon

Condition:

Brand New

Format:

Hardcover

Type:

Textbook

Language:

English

Publication Year:

2016

Pages:

162

Publication Date:

2016-11-04

Genre:

Finance

Subject:

Finance

Item Length:

9.3in.

Item Width:

6.1in.

Author:

Bertrand Hassani

Publication Name:

Scenario Analysis in Risk Management : Theory and Practice in Finance

Publisher:

Springer International Publishing A&G

Item Weight:

137.9 Oz

Number of Pages:

Xiii, 162 Pages

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Posted for sale:

More than a week ago

Item number:

1419756326

Item description