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مبانی بازارها و نهادهای مالی

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297 pages, Paperback

First published January 1, 2010

4 people want to read

About the author

Frank J. Fabozzi

381 books118 followers
Frank J. Fabozzi is a Professor in the Practice of Finance and Becton Fellow in the Yale School of Management. He is well known as the author of numerous books on finance, both practitioner-focused and academic. Professor Frank J. Fabozzi will be joining Edhec Risk Institute on August 1, 2011. EDHEC-Risk Institute is part of EDHEC Business School, one of Europe’s leading business schools.

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5 reviews
August 30, 2021
کلی بخوام بگم نسبت به جلد اول بهتر بود و اطلاعات جامع تری میده اما همچنان مثل جلد 1 پر از غلط املایی و نگارشی هست و خیلی صبر و حوصله میخواد خوندنش، باید خیلی عاشق امور مالی باشی تا بتونی تموم کنی این دوجلد رو
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