Skip to content

Managing Downside Risk in Financial Markets (With- CD-ROM) (Quantitative
Stock Photo: Cover May Be Different

Managing Downside Risk in Financial Markets (With- CD-ROM) (Quantitative Finance) Hardcover - 2001 - 1st Edition

by Frank Sortino Stephen Satchell


First line

This chapter is intended to provide a brief history of the research carried out at the Pension Research Institute (PRI) and some important developments surrounding it.

Details

  • Title Managing Downside Risk in Financial Markets (With- CD-ROM) (Quantitative Finance)
  • Author Frank Sortino Stephen Satchell
  • Binding Hardcover
  • Edition number 1st
  • Edition 1
  • Pages 352 pages Illustrations
  • Publisher Butterworth-Heinemann, Oxford, UK
  • Date November 15, 2001
  • ISBN 9780750648639
Back to Top

More Copies for Sale

Managing Downside Risk in Financial Markets
Stock Photo: Cover May Be Different

Managing Downside Risk in Financial Markets

  • Used
Condition
Used - Good
ISBN 10 / ISBN 13
9780750648639 / 0750648635
Quantity Available
1
Seller
Mishawaka, Indiana, United States
Seller rating:
This seller has earned a 5 of 5 Stars rating from Biblio customers.
Item Price
$15.95
FREE shipping to USA

Show Details

Description:
Elsevier Science & Technology. Used - Good. Former library book; may include library markings. Used book that is in clean, average condition without any missing pages.
Item Price
$15.95
FREE shipping to USA
Managing Downside Risk in Financial Markets (Quantitative Finance)
Stock Photo: Cover May Be Different

Managing Downside Risk in Financial Markets (Quantitative Finance)

by Sortino, Frank A. [Editor]; Satchell, Stephen [Editor];

  • Used
  • Hardcover
Condition
Used - Ships same or next business day
Binding
Hardcover
ISBN 10 / ISBN 13
9780750648639 / 0750648635
Quantity Available
1
Seller
tontitown, Arkansas, United States
Seller rating:
This seller has earned a 4 of 5 Stars rating from Biblio customers.
Item Price
$76.66
$3.00 shipping to USA

Show Details

Description:
Butterworth-Heinemann, 2001-10-16. hardcover. Ships same or next business day . 6x1x9.
Item Price
$76.66
$3.00 shipping to USA
Managing Downside Risk in Financial Markets (Quantitative Finance)
Stock Photo: Cover May Be Different

Managing Downside Risk in Financial Markets (Quantitative Finance)

by Sortino, Frank A. [Editor]; Satchell, Stephen [Editor];

  • New
  • Hardcover
Condition
New
Binding
Hardcover
ISBN 10 / ISBN 13
9780750648639 / 0750648635
Quantity Available
1
Seller
San Diego, California, United States
Seller rating:
This seller has earned a 5 of 5 Stars rating from Biblio customers.
Item Price
$86.61
$5.45 shipping to USA

Show Details

Description:
Butterworth-Heinemann, 2001-10-16. Hardcover. New. New. In shrink wrap. Looks like an interesting title!
Item Price
$86.61
$5.45 shipping to USA