Quantitative Risk and Portfolio Management: Theory and Practice

Quantitative Risk and Portfolio Management: Theory and Practice

Quantitative Risk and Portfolio Management: Theory and Practice

Author(s): Kenneth Winston
Publisher: Cambridge University Press
Binding: Hardcover
Regular price $89.99
/
  • Free shipping on orders $35+
  • 30 day returns
  • New condition
  • In stock, ready to ship
  • Inventory on the way
Shipping calculated at checkout.

New copy of Quantitative Risk and Portfolio Management: Theory and Practice by Kenneth Winston. - Hardcover, Published by Cambridge University Press, ISBN-13: 9781009209045, ISBN-10: 1009209043.

Hassle-free 30-day returns. Free shipping on orders over $35.

We ship at a flat rate of $9.99 per order. Orders $35 and up ship free of charge.

This site is protected by hCaptcha and the hCaptcha Privacy Policy and Terms of Service apply.

Recently viewed