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Sökning efter: Frank J. Fabozzi
189 träffar
|
Titel |
Författare |
År |
Språk |
81 |
Capital Budgeting: Theory and Practice (Frank J. Fabozzi series)
|
Pamela P. Peterson
|
2002 |
Okänt |
82 |
Collateralized debt obligations : structures and analysis
|
Frank J. Fabozzi
|
2002 |
Okänt |
83 |
Collateralized mortgage obligations : structures and analysis, third edition
|
Frank J. Fabozzi
|
1999 |
Okänt |
84 |
Duration, convexity, and other bond risk measures
|
Frank J. Fabozzi
|
1999 |
Okänt |
85 |
Fixed Income Analysis, Second Edition
|
Frank J. Fabozzi
|
uuuu-uuuu |
Okänt |
86 |
Probability and statistics for finance
|
|
cop. 2010 |
Engelska |
87 |
Quantitative equity investing - techniques and strategies
|
Frank J. Fabozzi
|
2010 |
Engelska |
88 |
Leveraged finance - concepts, methods, and trading of high-yield bonds, loans, and derivatives/c Stephen J Antczak, Douglas J. Lucas, Frank J. Fabozzi
|
Stephen J. Antczak
|
2009 |
Engelska |
89 |
Bayesian Methods in Finance
|
Svetlozar T. Rachev
|
2008 |
Okänt |
90 |
Advanced Stochastic Models, Risk Assessment, and Portfolio Optimization: The Ideal Risk, Uncertainty, and Performance Measures (Frank J. Fabozzi series)
|
Frank J. Fabozzi
|
2008 |
Okänt |
91 |
Introduction to securitization
|
Frank J. Fabozzi
|
c2008 |
Engelska |
92 |
Securities lending and repurchase agreements
|
Frank J. Fabozzi (ed)
|
1996 |
Okänt |
93 |
Capital markets - institutions and instruments
|
Frank J. Fabozzi
|
cop. 2009 |
Engelska |
94 |
The theory and practice of investment management - asset allocation, valuation, portfolio construction, and strategies
|
|
cop. 2011 |
Engelska |
95 |
The Handbook of Stable Value Investments
|
Frank J. Fabozzi
|
1998 |
Engelska |
96 |
The Future of Finance - A New Model for Banking and Investment
|
Moorad. Choudhry
|
2010 |
Engelska |
97 |
Introduction to fixed income analytics electronic resource : relative value analysis, risk measures and valuation, second edition / Frank J. Fabozzi, Steven V. Mann
|
Frank J. Fabozzi
|
uuuu-uuuu |
Okänt |
98 |
Financial economics
|
Frank J. Fabozzi
|
cop. 2012 |
Engelska |
99 |
Simulation and optimization in finance - modeling with MATLAB, @Risk, or VBA
|
Dessislava A. Pachamanova
|
c2010 |
Engelska |
100 |
Equity valuation and portfolio management
|
|
cop. 2011 |
Engelska |
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