Portfolio and risk management / A.V. Avadhani
By: Avadhani, A.V
Material type:
TextLanguage: English Publisher: Mumbai : Himalaya publishing house, 2008Description: 159 p. ; 24 cmDDC classification: 332.632 AVA
| Item type | Current location | Call number | Status | Notes | Date due | Barcode |
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WeSchool, Bangalore | 332.632 AVA (Browse shelf) | Available | Economics | B015457 |
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| 332.63 SAD Mutual Funds in India : Marketing Strategies and Investment Practices | 332.63 SUN Fixed Income Markets and Their Derivatives | 332.632 APP Opportunity Investing | 332.632 AVA Portfolio and risk management / | 332.632 BAN Derivatives and Financial Innovation | 332.632 BUF Warren Buffett and the interpretation of financial statements : | 332.632 CHO Bond and Money Markets |

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