Knihobot

Governance Risk Management and Financial Product Development in Islamic Financial Institutions

Parametre

Počet strán
132 stránok
Čas čítania
5 hodin

Viac o knihe

Focusing on investment and finance, this master's thesis presents a comprehensive analysis of a specific topic within business economics. It is a scholarly work submitted to Maastricht University, reflecting a high academic standard with a grade of 1.7. The introduction sets the stage for an in-depth exploration of relevant theories and practices in the field, aiming to contribute valuable insights to the academic community.

Nákup knihy

Governance Risk Management and Financial Product Development in Islamic Financial Institutions, Michael Bock

Jazyk
Rok vydania
2010
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