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.
-
281
- Commodity derivatives : markets and applications
-
Neil C. Schofield
John Wiley & Sons c2007 Wiley finance series
所蔵館2館
-
282
- Handbook of asset and liability management : from models to optimal return strategies
-
Alexandre Adam
John Wiley & Sons c2007 Wiley finance series
: HB
所蔵館2館
-
283
- Accounting for derivatives : advanced hedging under IFRS
-
Juan Ramirez
John Wiley & Sons, Ltd. c2007 Wiley finance series
: cloth
所蔵館3館
-
284
- Active alpha : a portfolio approach to selecting and managing alternative investments
-
Alan H. Dorsey
John Wiley & Sons c2007 Wiley finance series
: cloth
所蔵館1館
-
285
- Financial modeling using C++
-
Chandan Sengupta
Wiley c2007 Wiley finance series
所蔵館2館
-
286
- Liquidity risk measurement and management : a practitioner's guide to global best practices
-
edited by Leonard Matz and Peter Neu
John Wiley & Sons (Asia) c2007 Wiley finance series
所蔵館3館
-
287
- J curve exposure : managing a portfolio of venture capital and private equity funds
-
Pierre-Yves Mathonet, Thomas Meyer
John Wiley & Sons c2007 Wiley finance series
: HB
所蔵館2館
-
288
- The hedge fund compliance and risk management guide
-
Armelle Guizot
John Wiley & Sons, Inc. c2007 Wiley finance series
所蔵館3館
-
289
- The future of investing : in Europe's markets after MiFID
-
edited by Chris Skinner
John Wiley c2007 Wiley finance series
: cloth
所蔵館1館
-
290
- Structured finance modeling with object-oriented VBA
-
Evan Tick
John Wiley & Sons, Inc. c2007 Wiley finance series
所蔵館3館
-
291
- Robust portfolio optimization and management
-
Frank J. Fabozzi ... [et al.]
John Wiley c2007 The Frank J. Fabozzi series , Wiley finance series
: hd
所蔵館11館
-
292
- Credit risk modeling using Excel and VBA
-
Gunter Löffler, Peter N. Posch
Wiley c2007 Wiley finance series
: hbk
所蔵館7館
-
293
- Asymmetric returns : the future of active asset management
-
Alexander M. Ineichen
Wiley c2007 Wiley finance series
: cloth
所蔵館3館
-
294
- Behavioural investing : a practitioner's guide to applying behavioural finance
-
James Montier
John Wiley c2007 Wiley finance series
: hbk
所蔵館11館
-
295
- Institutional banking for emerging markets : principles and practice
-
W. Huang
J. Wiley & Sons c2007 Wiley finance series
: cloth
所蔵館2館
-
296
- Debt capital markets in China
-
Jian Gao
John Wiley & Sons c2007 Wiley finance series
: cloth
所蔵館6館
-
297
- The mathematics of derivatives : tools for designing numerical algorithms
-
Robert L. Navin
John Wiley c2007 Wiley finance series
: cloth
所蔵館9館
-
298
- Scenarios for risk management and global investment strategies
-
Rachel E.S. Ziemba and William T. Ziemba
J. Wiley c2007 Wiley finance series
: cloth
所蔵館2館
-
299
- International economic indicators and central banks
-
Anne Dolganos Picker
J. Wiley & Sons c2007 Wiley finance series
: cloth
所蔵館5館
-
300
- Private equity as an asset class
-
Guy Fraser-Sampson
John Wiley c2007 Wiley finance series
所蔵館6館