Finance Series Portfolio Management Theory & Application / James Farrell 2nd Ed. Pre-owned textbook in great condition. There are no tears, highlight marks, or any other obvious defects. See all photos for specifics. Smoke free home. Fast shipper!
| Return Shipping Will Be Paid By | Seller |
| All Returns Accepted | Returns Accepted |
| Item Must Be Returned Within | 30 Days |
| Refund Will Be Given As | Money Back |
| Subject Area | Banks |
| Item Length | 9.5in. |
| Subject | Finance |
| Series | Finance Series |
| Publication Year | 1997 |
| Type | Textbook |
| Format | Hardcover |
| Language | English |
| Item Height | 1in. |
| Author | James L. Farrell |
| Level | Advanced |
| Features | Revised Edition |
| Country/Region Of Manufacture | United States |
| Item Width | 6.5in. |
| Item Weight | 30.5 Oz |
| Number Of Pages | 560 Pages |
Finance Series Portfolio Management Theory & Application / James Farrell 2nd Ed. Pre-owned textbook in great condition. There are no tears, highlight marks, or any other obvious defects. See all photos for specifics. Smoke free home. Fast shipper!