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Financial derivatives and market risk management

  1. Financial derivatives and market risk management. Part I .  Praha :  Oeconomica, nakladatelství VŠE,  2011   [1, currently available 1]
    Souborný záznam : Witzany, Jiří. Financial derivatives and market risk management
    View book information on page www.obalkyknih.cz

Number of the records: 1  

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