著者
書誌事項
Wiley finance series
J. Wiley
- タイトル別名
-
Wiley finance
この図書・雑誌をさがす
注記
Publishing place varies: Hoboken, N.J.
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241
- An introduction to international capital markets : products, strategies, participants
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Andrew M. Chisholm
Wiley 2009 2nd ed Wiley finance series
: cloth
所蔵館9館
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242
- Financial risk manager handbook
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Philippe Jorion
Wiley c2009 5th ed. Wiley finance series
所蔵館4館
-
243
- Strategic value management : stock value creation and the management of the firm
-
Juan Pablo Stegmann
Wiley c2009 Wiley finance series
: cloth
所蔵館4館
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244
- Foundations of banking risk : an overview of banking, banking risks, and risk-based banking regulation
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Richard Apostolik, Christopher Donohue, Peter Went
J. Wiley c2009 Wiley finance series
所蔵館7館
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245
- Lévy processes in credit risk
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Wim Schoutens and Jessica Cariboni
J. Wiley c2009 Wiley finance series
: cloth
所蔵館16館
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246
- The handbook of insurance-linked securities
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edited by Pauline Barrieu and Luca Albertini
Wiley 2009 Wiley finance series
所蔵館6館
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247
- Investment banking : valuation, leveraged buyouts, and mergers & acquisitions
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Joshua Rosenbaum, Joshua Pearl
J. Wiley c2009 Wiley finance series
: cloth
所蔵館14館
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248
- Operational risk toward Basel III : best practices and issues in modeling, management and regulation
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Greg N. Gregoriou
J. Wiley c2009 Wiley finance series
所蔵館9館
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249
- Restoring financial stability : how to repair a failed system
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Viral V. Acharya and Matthew Richardson
John Wiley & Sons c2009 Wiley finance series
所蔵館25館
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250
- Active credit portfolio management in practice
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Jeffrey R. Bohn, Roger M. Stein
John Wiley & Sons c2009 Wiley finance series
(cloth/website)
所蔵館7館
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251
- Hedge fund operational due diligence : understanding the risks
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Jason A. Scharfman
John Wiley & Sons c2009 Wiley finance series
hbk
所蔵館1館
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252
- Frontiers in quantitative finance : volatility and credit risk modeling
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Rama Cont, editor
Wiley, c2009 Wiley finance series
所蔵館12館
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253
- Selling the intangible company : how to negotiate and capture the value of a growth firm
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Thomas V. Metz, Jr
Wiley c2009 Wiley finance series
: cloth
所蔵館3館
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254
- Macrofinancial risk analysis
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Dale F. Gray and Samuel W. Malone
Wiley c2008 Wiley finance series
所蔵館2館
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255
- The future of finance after SEPA
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edited by Chris Skinner
John Wiley & Sons c2008 Wiley finance series
: cloth
所蔵館2館
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256
- Practical portfolio performance : measurement and attribution
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Carl R Bacon
John Wiley c2008 2nd ed Wiley finance series
: cloth
所蔵館3館
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257
- Modelling single-name and multi-name credit derivatives
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Dominic O'Kane
J. Wiley & Sons c2008 Wiley finance series
: cloth
所蔵館6館
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258
- Energy Budgets at Risk (EBaR) : a risk management approach to energy purchase and efficiency choices
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Jerry Jackson
Wiley c2008 Wiley finance series
: cloth
所蔵館4館
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259
- Behavioural finance for private banking
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Thorsten Hens and Kremena Bachmann
John Wiley & Sons c2008 Wiley finance series
: cloth
所蔵館3館
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260
- Stochastic simulation and applications in finance with MATLAB programs
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Huu Tue Huynh, Van Son Lai, and Issouf Soumaré
John Wiley & Sons c2008 Wiley finance series
: cloth
所蔵館9館