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1. Financial Risk Analytics: a Term Structure Model Approach for Banking, Insurance and Investment Management
by Donald R. Van Deventer; Kenji Imai
Seller Description: Good. Missing dust jacket; Pages can have notes/highlighting. Spine may show signs of wear. ~ ThriftBooks: Read More, Spend Less. See More Details
1996, Irwin Professional Pub
ISBN-13: 9780786309641
Hardcover, Good
Dallas, TX, USA
$13.16
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2. Financial Risk Analytics: a Term Structure Model Approach for Banking, Insurance and Investment Management
by Deventer, Donald R. Van
Seller Description: Good. Access codes and supplements are not guaranteed with used items. May be an ex-library book. See More Details
1996, Irwin Professional Pub
ISBN-13: 9780786309641
hardcover, Good
Santa Clarita, CA, USA
$54.42
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3. Financial Risk Analytics: a Term Structure Model Approach for Banking, Insurance and Investment Management
by Deventer, Donald R. Van
Seller Description: New. See More Details
1996, Irwin Professional Pub
ISBN-13: 9780786309641
hardcover, New
Miramar, FL, USA
$87.11
