MANAGING INTEREST RATE RISK: USING FINANCIAL DERIVATIVES By John J. Stephens NEW
USD 81.95 USD
MANAGING INTEREST RATE RISK: USING FINANCIAL DERIVATIVES (INSTITUTE OF INTERNAL AUDITORS RISK MANAGEMENT SERIES) By John J. Stephens - Hardcover **BRAND NEW**.
Specifications
| ISBN-10 | 0471485497 |
| ISBN | 9780471485490 |
| Subject Area | Business & Economics |
| Item Length | 10 in |
| Publication Year | 2002 |
| Type | Textbook |
| Format | Hardcover |
| Language | English |
| Item Height | 0.7 in |
| Author | John J. Stephens |
| Item Weight | 19 Oz |
| Item Width | 6.9 in |
| Number Of Pages | 204 Pages |
This textbook includes case studies that bring the subject matter to life.