Asset and risk management : risk oriented finance
Main Authors: | Esch, Louis (Author), Kieffer, Robert (Author), Lopez, Thierry (Author) |
---|---|
Format: | Book |
Published: |
West Sussex, England :
John Wiley & Sons ,
c2005
|
Subjects: |
Similar Items
Asset management and investor protection : an international analysis
by: Franks, Julian R., et al.
Published: (2003)
by: Franks, Julian R., et al.
Published: (2003)
The new science of asset allocation : risk management in a multi-asset world
by: Schneeweis, Thomas, et al.
Published: (2010)
by: Schneeweis, Thomas, et al.
Published: (2010)
Asset allocation and international investments
by: Gregoriou, Greg N. , 1956-
Published: (2006)
by: Gregoriou, Greg N. , 1956-
Published: (2006)
Extreme financial risks : from dependence to risk management
by: Malevergne, Yannick, et al.
Published: (2006)
by: Malevergne, Yannick, et al.
Published: (2006)
The only guide you'll ever need for the right financial plan : managing your wealth, risk, and investments
by: Swedroe, Larry E., et al.
Published: (2010)
by: Swedroe, Larry E., et al.
Published: (2010)
Financial risk analytics : a term structure model approach for banking, insurance and investment management
by: Deventer, Donald R. van , 1951-, et al.
Published: (1997)
by: Deventer, Donald R. van , 1951-, et al.
Published: (1997)
Modern portfolio theory : foundations, analysis, and new developments + website
by: Francis, Jack Clark, et al.
Published: (2013)
by: Francis, Jack Clark, et al.
Published: (2013)
Asset/liability management techniques
by: Williams, Bill, et al.
Published: (1992)
by: Williams, Bill, et al.
Published: (1992)
Efficient asset management : a practical guide to stock portfolio optimization and asset allocation
by: Michaud, Richard O. , 1941-
Published: (1998)
by: Michaud, Richard O. , 1941-
Published: (1998)
Advanced financial risk management : tools and techniques for integrated credit risk and interest rate risk management
by: Deventer, Donald R. van , 1951-, et al.
Published: (2005)
by: Deventer, Donald R. van , 1951-, et al.
Published: (2005)
Handbook of solvency for actuaries and risk managers : theory and practice
by: Sandstrom, Arne
Published: (2011)
by: Sandstrom, Arne
Published: (2011)
Investment analysis and management
by: Huang, Stanley S. C., et al.
Published: (1987)
by: Huang, Stanley S. C., et al.
Published: (1987)
Security analysis and portfolio management
by: Fischer, Donald E., et al.
Published: (1983)
by: Fischer, Donald E., et al.
Published: (1983)
Introductory investment theory
by: Huagen, Robert A.
Published: (1987)
by: Huagen, Robert A.
Published: (1987)
Managing financial institutions
by: Gardner, Mona J., et al.
Published: (2005)
by: Gardner, Mona J., et al.
Published: (2005)
Portfolio and investment selection : theory and practice
by: Levy, Haim
Published: (1984)
by: Levy, Haim
Published: (1984)
Investment analysis and portfolio management
by: Cohen, Jerome B. , 1915-1986, et al.
Published: (1987)
by: Cohen, Jerome B. , 1915-1986, et al.
Published: (1987)
Measuring and managing operational risks in financial institutions : tools, techniques, and other resources
by: Marshall, Christopher Lee
Published: (2001)
by: Marshall, Christopher Lee
Published: (2001)
Investment appraisal for non-financial managers
by: Moran, Kate
Published: (1995)
by: Moran, Kate
Published: (1995)
Bank funds management : text and readings
by: Haslem, John A.
Published: (1984)
by: Haslem, John A.
Published: (1984)
Private and public investment analysis
by: Palm, Thomas
Published: (1985)
by: Palm, Thomas
Published: (1985)
Technical analysis for Dummies
by: Rockefeller, Barbara , 1946-
Published: (2004)
by: Rockefeller, Barbara , 1946-
Published: (2004)
Martin Pring's introduction to technical analysis
by: Pring, Martin J.
Published: (1998)
by: Pring, Martin J.
Published: (1998)
Essentials of technical analysis for financial markets
by: Chen, James , 1971-
Published: (2010)
by: Chen, James , 1971-
Published: (2010)
Further investment analysis
by: Lim, Choo Peng, et al.
Published: (1986)
by: Lim, Choo Peng, et al.
Published: (1986)
Analisis pelaburan
by: Shamsher Mohamad, et al.
Published: (2002)
by: Shamsher Mohamad, et al.
Published: (2002)
Managing bank assets and liabilites : strategies for risk control and profit
by: Stigum, Marcia L., et al.
Published: (1983)
by: Stigum, Marcia L., et al.
Published: (1983)
The new wealth management : the financial advisor's guide to managing and investing client assets
by: Evensky, Harold, et al.
Published: (2011)
by: Evensky, Harold, et al.
Published: (2011)
Analyzing the stock market : a quantitative approach
by: Fogler, H. Russell
Published: (1973)
by: Fogler, H. Russell
Published: (1973)
Super stock
by: Fisher, Kenneth L.
by: Fisher, Kenneth L.
Running money : professional portfolio management
by: Stewart, Scott D. , 1958-, et al.
Published: (2011)
by: Stewart, Scott D. , 1958-, et al.
Published: (2011)
Investment risk and uncertainty : advanced risk awareness techniques for the intelligent investor
by: Greiner, Steven P.
Published: (2013)
by: Greiner, Steven P.
Published: (2013)
Study guide to portfolio management
by: Norzaidi Mohd Daud, et al.
Published: (2005)
by: Norzaidi Mohd Daud, et al.
Published: (2005)
Trader Vic II : principles of professional speculation
by: Sperandeo, Victor
Published: (1994)
by: Sperandeo, Victor
Published: (1994)
Quantitative investment analysis
by: McLeavey, Dennis W., et al.
Published: (2007)
by: McLeavey, Dennis W., et al.
Published: (2007)
Managing interest rate risk
by: Grumball, Clive
Published: (1987)
by: Grumball, Clive
Published: (1987)
Structured finance and insurance : the ART of managing capital and risk
by: Culp, Christopher L.
Published: (2006)
by: Culp, Christopher L.
Published: (2006)
المدخل الى ادارة الاستثمارات من منظور اسلامي : دراسة تاصيلية للمفاهيم العلمية والممارسات العملية
by: قشوط، هشام كامل
Published: (2014)
by: قشوط، هشام كامل
Published: (2014)
Financial Reporting Standard 5 : Non-current assets held for sale and discontinued operations
Published: (2008)
Published: (2008)
Risk takers : uses and abuses of financial derivatives
by: Marthinsen, John E.
Published: (2005)
by: Marthinsen, John E.
Published: (2005)
Similar Items
-
Asset management and investor protection : an international analysis
by: Franks, Julian R., et al.
Published: (2003) -
The new science of asset allocation : risk management in a multi-asset world
by: Schneeweis, Thomas, et al.
Published: (2010) -
Asset allocation and international investments
by: Gregoriou, Greg N. , 1956-
Published: (2006) -
Extreme financial risks : from dependence to risk management
by: Malevergne, Yannick, et al.
Published: (2006) -
The only guide you'll ever need for the right financial plan : managing your wealth, risk, and investments
by: Swedroe, Larry E., et al.
Published: (2010)