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 |  |  | The Exchange-Traded Funds Manual (Frank J. Fabozzi Series) by Gary L. Gastineau Hardcover, 401 Pages, Published 2002 by John Wiley & Sons
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 |  |  | Points of Inflection: New Directions for Portfolio Management by Paul McCulley, Richard M. Ennis, Laurence B. Siegel, Martin L. Leibowitz, Robert D. Arnott, Jeremy J. Siegel, M. Barton Waring, Gary L. Gastineau, Peter L. Bernstein Paperback, 88 Pages, Published 2004 by CFA Institute
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 |  |  | Stock Options Manual (2Rev Ed Edition) by Gary L. Gastineau Hardcover, 389 Pages, Published 1979 by McGraw Hill Higher Education, 2Rev Ed Edition
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 |  |  | Corporate Risk Management (The Research Foundation of AIMR and Blackwell Series in Finance) by Gary Gastineau, Donald Smith Paperback, 120 Pages, Published 2001 by WileyBlackwell
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 |  |  | Equity Flex Options (Frank J. Fabozzi Series) by James J. Angel, Gary L. Gastineau, Clifford J. Weber Paperback, 102 Pages, Published 1999 by John Wiley & Sons
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 |  |  | Someone Will Make Money on Your Funds - Why Not You?: A Better Way to Pick Mutual and Exchange-Traded Funds by Gary L. Gastineau Hardcover, 296 Pages, Published 2005 by John Wiley & Sons
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 |  |  | The Dictionary of Financial Risk Management (Frank J. Fabozzi Series) (3rd Edition) by Gary L. Gastineau, Mark P. Kritzman Hardcover, 346 Pages, Published 1999 by John Wiley & Sons, 3rd Edition
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 |  |  | Stock Options Manual by Gary L. Gastineau Hardcover, 224 Pages, Published 1975 by McGraw-Hill Inc.,US
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 |  |  | Derivative Strategies for Managing Portfolio Risk by Keith C. Brown, Don M. Chance, Roger G. Clarke, Murali Ramaswami, Matthew R. Smith, Eric S. Reiner, Ira G. Kawaller, Robert W. Kopprasch; David F. DeRosa; Gary L. Gastineau; Joanne M. Hill, Henry M. McMillan, Nederlof Maarten l, Donald L. Luskin; Lloyd McAdams Paperback, 141 Pages, Published 1993 by AIMR (CFA Institute)
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 |  |  | Dictionary of Financial Risk Management (Revised Ed Edition) by Gary L. Gastineau, Mark Kritzman Hardcover, 307 Pages, Published 1996 by William C. Brown, Revised Ed Edition
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