Call Number (LC) Title Results
HG6024.3 .F54 1986 Hedging with financial futures for institutional investors : from theory to practice / 1
HG6024.3 .G45 1986 The Global swaps market / 1
HG6024.3 .H36 1990 The Handbook of currency and interest rate risk management / 1
HG6024.3 .H37 1991 The Handbook of derivative instruments : investment research, analysis, and portfolio applications / 1
HG6024.3 .H37 1996 The handbook of derivative instruments : investment research, analysis, and portfolio applications / 1
HG6024.3 .J683 1997 Value at risk : the new benchmark for controlling market risk / 1
HG6024.3 .J683 2001 Value at risk : the new benchmark for managing financial risk / 1
HG6024.3 .J683 2001eb Value at risk : the new benchmark for managing financial risk / 1
HG6024.3 .K38 1992 Financial futures and options : managing risk in the interest rate, currency and equity markets / 1
HG6024.3 .K65 1993 Financial derivatives / 2
HG6024.3 .K69 1989 Markets 101 / 1
HG6024.3 .L33 1988 Trading options on futures : markets, methods, strategies, and tactics / 1
HG6024.3 .P46 2001 Measuring market risk with value at risk / 1
HG6024.3 .R57 1998 Risk management and analysis / 1
HG6024.3 .S38 1986 Financial futures : fundamentals, strategies, and applications / 1
HG6024.3 .S55 1996 Option strategies : profit-making techniques for stock, stock index, and commodity options / 1
HG6024.3 .S67 1999  
HG6024.3 S785 2019 The Options Trading Primer : Using Rules-Based Option Trading to Earn a Steady Income. 1
HG6024.3 .T83 1991 Financial futures, options, and swaps / 1
HG6024.3 .Y34 2002 Comparative analyses of expected shortfall and value-at-risk. 1