Risikomanagement

German, John C. Hull, 2016
Delivered between Mon, 18.5. and Tue, 19.5.
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Product details

John C. Hull's textbook is one of the most comprehensive introductions to the topic of risk management for banks and financial institutions worldwide. Like the textbook "Options, Futures, and Other Derivatives," it combines the theoretical rigor of academia with the practical demands of banking and trading professionals. The software DerivaGem is available for download on the companion website.

Key specifications

Language
German
Author
John C. Hull
Year
2016
Number of pages
735
Book cover
Paperback

General information

Item number
7106581
Publisher
Pearson Studium
Category
Reference books
Release date
1.3.2016

Book properties

Language
German
Author
John C. Hull
Year
2016
Number of pages
735
Edition
4
Book cover
Paperback

Voluntary climate contribution

CO₂ emissions
1.49 kg
Climate contribution
CHF 0.11

Product dimensions

Height
240 mm
Width
170 mm
Weight
1358 g

30-day right of return if unopened
No warranty
1 additional offer

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Warranty score

How often does a product of this brand in the «Reference books» category have a defect within the first 24 months?

Source: Digitec Galaxus
  • 52.Kohlhammer
    0.2 %
  • 52.O'Reilly
    0.2 %
  • 52.Pearson Studium
    0.2 %
  • 52.Reclam
    0.2 %
  • 52.rororo
    0.2 %

Warranty case duration

How many working days on average does it take to process a warranty claim from when it arrives at the service centre until it’s back with the customer?

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  • Pearson Studium
    Not enough data
  • An der Ruhr
    Not enough data
  • Anaconda
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  • Ariston
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Return rate

How often is a product of this brand in the «Reference books» category returned?

Source: Digitec Galaxus
  • 67.Elsevier
    1.3 %
  • 67.Gerth Medien
    1.3 %
  • 67.Pearson Studium
    1.3 %
  • 72.dPunkt
    1.4 %
  • 72.Heyne
    1.4 %
Source: Digitec Galaxus