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Data Buku Publisher Risk Books

 

 

ID Author(s) Title Publisher Year
1 Phelim P. Boyle, Feidhlim Boyle Derivatives: the tools that changed finance Risk Books 2001
    9781899332885, 189933288X    
2 Jon Gregory, Angelo Arvanitis Credit: The complete guide to pricing, hedging and risk management [1st ed.] Risk Books 2001
    1899332731, 9781899332731, 9780585419336    
3 Oliver Brockhaus, Andrew Ferraris, Christoph Gallus, Douglas Long, Reiner Martin, Marcus Overhaus, Christopher Gallus Modelling and hedging equity derivatives [1 ed.] Risk Books 1999
    1899332340, 9781899332342, 9780585256771    
4 Charles M Cottle, Charles M Cottle, Sarah E Cottle Options: Perception and Deception & Coulda Woulda Shoulda revised & expanded, Printed in Color  RiskDoctor, Inc. 2006
    Options Trading: The Hidden Reality [1ST ed.]    
    0977869172, 9780977869176    
5 Owain ap Gwilym, Charles Sutcliffe Risk Technology Reports  Risk Books 1999
    High-frequency financial market data    
    1899332499, 9781899332496, 9780585302942    
6 Risk Books Credit Derivatives Risk Books 1998
    1899332618, 9781899332618, 9780585316178    
7 Risk Books, Robert Jameson Derviative Credit Risk [2ed.] Risk Books 1999
    1899332480, 9781899332489, 9780585195841    
8 Risk Books Managing energy price risks [2 ed.] Risk Books 1999
    1899332545, 9781899332540, 9780585302935    
9 Robert A. Jarrow Over the rainbow: Developments in exotic options and complex swaps Risk Books 1996
    1899332308, 9781899332304, 9780585196190    
10 USA Energy Security Analysis Inc Crude Oil Hedging Risk Books 1998
    1899332316, 9781899332311, 9780585195957    
11 Motamen-Scobie H., Cagliesi G., Valeur C. The Euro Bond Market Risk Books 1999
    1899332405, 9781899332403, 9780585195858    
12 Mark Rubinstein Rubinstein On Derivatives [1 ed.] Risk Books 2000
    1899332537, 9781899332533, 9780585352718    
13 Anonymous From Black-Scholes to black holes: New frontiers in options Risk Magazine 1992
    0951645323, 9780951645321, 9780585238227    
14 Charles M Cottle, Charles M Cottle, Sarah E Cottle Options Trading: The Hidden Reality Options: Perception and Deception & "Coulda Woulda Shoulda [1ST ed.] RiskDoctor, Inc. 2006
    0977869172, 9780977869176    
15 Mark Rubinstein Rubinstein On Derivatives [1 ed.] Risk Books 2000
    1899332537, 9781899332533, 9780585352718    
16 MICHAEL, K ONG Internal Credit Risk Models: Capital Allocation and Performance Measurement Risk Books 1999
    1899332030, 9781899332038    
17 Mark Broadie, Paul Glasserman Hedging With Trees Advances in Pricing and Risk Managing Derivatives [1 ed.] Risk Books 1998
    1899332022, 9781899332021    
18 Homa Motamen-Scobie Reserve Management (Risk executive report) Risk Books 2000
    1899332820, 9781899332823    
19 Risk Books Equity Derivatives Applications in Risk Management and Investment [1 ed.] Risk Publications 1997
    1899332162, 9781899332168, 9780585302959    
20 Michael Crookes Risk Factors in Power Contracts [1 ed.] Risk Publications 1999
    1899332383, 9781899332380, 9780585195940    
21 PricewaterhouseCoopers, Risk Books Derivatives and the Internal Auditor [1 ed.] Risk Publications 1998
    1899332073, 9781899332076, 9780585293479    
22 Bernd Scherer Portfolio Construction and Risk Budgeting Risk Books 2002
    1899332448, 9781899332441    
23 Paul Glasserman; Mark Nathan Broadie  Hedging with trees : advances in pricing and risk managing derivatives Risk 1998
    0585195994, 9780585195995    
24 René Doff Risk Management for Insurers, Second Edition [2nd Revised edition] Risk Books 2011
    1906348618, 9781906348618    
25 Mauro Cesa Post-crisis Quant Finance Risk Books 2013
    1782720073, 9781782720072    
26 Maureen O'Hara, Maureen O'Hara, Marcos Lopez de Prado, David Easley High-frequency Trading Risk Books 2013
    178272009X, 9781782720096    
27 Akhtar Siddique, Iftekhar Hasan, Akhtar Siddique, Iftekhar Hasan Stress Testing: Approaches, Methods and Applications Risk Books 2013
    1782720081, 9781782720089    
28 Stinson Gibner Commodity Investing and Trading Risk Books 2013
    1906348847, 9781906348847    
29 Robert Fiedler Liquidity Modelling Risk Books 2012
    1906348464, 9781906348465    
30 Nigel Da Costa Lewis Market Risk Modelling, Second Edition: Applied Statistical Methods for Practitioners [2nd Edition] Risk Books 2012
    1906348774, 9781906348779    
31 Terry Benzschawel Credit Risk Modelling - Facts, Theory and Applications Risk Books 2012
    1906348588, 9781906348588    
32 Alex Krutov Investing in Insurance Risk: Insurance-Linked Securities - A Practitioner's Perspective Risk Books 2010
    1904339565, 9781904339564    
33 Stanley Myint, Fabrice Famery The Handbook of Corporate Financial Risk Management Risk Books 2012
    1906348928, 9781906348922    
34 Stefania Perrucci and Brice Benaben Inflation Sensitive Assets: Instruments and Strategies Risk Books 2012
    1906348626, 9781906348625    
35 Paul Canty, Markus Heider Inflation Markets: A Comprehensive and Cohesive Guide Risk Books 2012
    1906348758, 9781906348755    
36 Morton Lane, Morton Lane Re  Risk Books 2012
    Alternative (Re)insurance Strategies [Second Edition]    
    1906348898, 9781906348892    
37 Bernd Scherer Portfolio Construction and Risk Budgeting [4th ed.] Risk Books 2010
    1906348359, 9781906348359    
38 Daniel Broby A Guide to Fund Management Risk Books 2010
    1906348189, 9781906348182    
39 Christian Meyer and Peter Quell Risk Model Validation Risk Books 2011
    1906348510, 9781906348519    
40 Vincent Kaminski Energy Markets Risk Books 2013
    1906348790, 9781906348793    
41 Jorge A. Chan-Lau Systemic Risk Assessment and Oversight Risk Books 2013
    1782720146, 9781782720140    
42 Eduardo Canabarro Counterparty Credit Risk Risk Books 2010
    1906348340, 9781906348342    
43 Daniel Rösch, Harald Scheule Model Risk - Identification, Measurement and Management Risk Books 2010
    1906348251, 9781906348250    
44 Mark Rubinstein Rubinstein on Derivatives [1 ed.] Risk Books 2000
    9781899332533, 1899332537    
45 Alexander Sokol Long-Term Portfolio Simulation: For XVA, Limits, Liquidity and Regulatory Capital Risk Books 2014
46 Paolo Sironi Modern Portfolio Management: From Markowitz to Probabilistic Scenario Optimisation Risk Books 2015
    1782722041, 9781782722045    
 
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Article ID: 297
Category: Knowledgebase
Date added: 2016-02-02 03:34:53
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Rating (Votes): Article rated 3.8/5.0 (10)

 
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