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Investment Management
Investment Management
Knygos.lt klubas Knygos.lt nariams
164,49 €
-30%
Įprastai
234,99 €
  • Išsiųsime per 12–18 d.d.
"Investment Management" is an exhaustive resource designed to cater to the academic needs of finance specialization students across various programs, including undergraduate and postgraduate degrees. The book is carefully organized into 17 comprehensive chapters that delve into critical topics in investment management, with a dedicated focus on financial derivatives. To facilitate a thorough understanding of the material, the book incorporates a variety of practical elements, including problems…
  • Leidėjas:
  • ISBN-10: 934956257X
  • ISBN-13: 9789349562578
  • Formatas: 19.1 x 23.5 x 4 cm, kieti viršeliai
  • Kalba: Anglų

Investment Management (el. knyga) (skaityta knyga) | Madana Mohan M | knygos.lt

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"Investment Management" is an exhaustive resource designed to cater to the academic needs of finance specialization students across various programs, including undergraduate and postgraduate degrees. The book is carefully organized into 17 comprehensive chapters that delve into critical topics in investment management, with a dedicated focus on financial derivatives. To facilitate a thorough understanding of the material, the book incorporates a variety of practical elements, including problems and solutions based on different university question papers. Each chapter concludes with a diverse range of assessment tools, including multiple-choice questions, short answer questions, and case analyses, to reinforce learning and prepare students for examinations and practical applications in the field of investment management.

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  • Autorius: Madana Mohan M
  • Leidėjas:
  • ISBN-10: 934956257X
  • ISBN-13: 9789349562578
  • Formatas: 19.1 x 23.5 x 4 cm, kieti viršeliai
  • Kalba: Anglų

"Investment Management" is an exhaustive resource designed to cater to the academic needs of finance specialization students across various programs, including undergraduate and postgraduate degrees. The book is carefully organized into 17 comprehensive chapters that delve into critical topics in investment management, with a dedicated focus on financial derivatives. To facilitate a thorough understanding of the material, the book incorporates a variety of practical elements, including problems and solutions based on different university question papers. Each chapter concludes with a diverse range of assessment tools, including multiple-choice questions, short answer questions, and case analyses, to reinforce learning and prepare students for examinations and practical applications in the field of investment management.

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