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Finansal risk yönetimi çerçevesinde piyasa volatilitesinintahmini ve portföy var hesaplamaları / (Sevil, Güven.)
LEADER
 naa   a22   7ar4500 

020 -INTERNATIONAL STANDARD BOOK NUMBER

a ISBN 975-06-0067-3

040 -CATALOGING SOURCE

a Original cataloging agency NEU GrandLibrary

041 -LANGUAGE CODE

a Language code of text/sound track or separate title tur

050 -LIBRARY OF CONGRESS CALL NUMBER

a Classification number HG6024.A3

b Item number S48 2001

100 -MAIN ENTRY--PERSONAL NAME

a Personal name Sevil, Güven.

245 -TITLE STATEMENT

a Title Finansal risk yönetimi çerçevesinde piyasa volatilitesinintahmini ve portföy var hesaplamaları /

c Statement of responsibility, etc Güven Sevil.

h Medium BOOK

260 -PUBLICATION, DISTRIBUTION, ETC. (IMPRINT)

a Place of publication, distribution, etc Eskişehir :

b Name of publisher, distributor, etc Anadolu Üniversitesi,

c Date of publication, distribution, etc 2001.

300 -PHYSICAL DESCRIPTION

a Extent xiii, 116 p.

504 -BIBLIOGRAPHY, ETC. NOTE

a Bibliography, etc Bibliography :p.[107]-116.

650 -SUBJECT ADDED ENTRY--TOPICAL TERM

a Topical term or geographic name as entry element Financial futures

650 -SUBJECT ADDED ENTRY--TOPICAL TERM

a Topical term or geographic name as entry element Risk Management

650 -SUBJECT ADDED ENTRY--TOPICAL TERM

a Topical term or geographic name as entry element Portfolio management


Items
barcode
Call number
Shelf
Location
3217568270HG6024.A3 S48 2001GENGrnd Floor

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