GA30503 FINANCIAL RISKS MANAGEMENT
| No. | Title | Item Location | Call Number | 
| 1. | 
 | HG4910. S28 2019 | |
| 2 | Saunders, A & Cornett, M.M. (2017). Financial Institutions Management: A Risk Management Approach. 9 th Edition. McGraw-Hill International Edition. | 
 | HG181. S33 2018 | 
| 3 | Hull, John. C. (2018). Option, Futures and Other Derivatives, Global Edition. 9 th Edition, Pearson Education. | N/A | N/A | 
| 4 | Chance, Don, M & Brooks, Robert. (2016). Introduction to Derivatives and Risk Management. 10th Edition. Cengage Learning. | 
 | HG6024. A3C43 2019 | 
| 5 | Bodie, Z., Kane, A and Marcus, A.J. (2010). Investments and Portfolio Management, 11th Edition. McGraw-Hill | 
 | HG4521. B564 2021 | 
 
																		