This revised and updated textbook provides a bridge between theory and practice. Appropriate for the second course in Finance for MBA students and the first course in Finance for doctoral students, the text prepares students for the complex world of modern financial scholarship and practice.
“Credit Risk Management: How to Avoid Lending Disasters and Maximize Earnings” se ha añadido a tu carrito. Ver carrito
Financial Theory & Corporate Policy PNIE
$1,931.79
Peso | 78.00 kg |
---|---|
ISBN13 | |
Author | Prof. Dr. Thomas E. Copeland / Prof. Dr. J. Fred Weston / Prof. Dr. Kuldeep Shastri |
Publisher | |
Binding | |
Lenguage | |
Publish Year | |
Edition | |
Pages |
Productos relacionados
-
MP Computer Accounting Essentials with Microsoft Dynamics GP 10.0
$1,946.07 Añadir al carritoValorado con 0 de 5 -
McGraw-Hill’s 500 Series 7 Exam Questions to Know by Test Day (McGraw-Hill’s 500 Questions)
$525.00 Añadir al carritoValorado con 0 de 5 -
MP Auditing and Assurance Services w/ OLC Premium Content Card
$3,228.75 Añadir al carritoValorado con 0 de 5