著者
書誌事項
Wiley finance series
J. Wiley
- タイトル別名
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Wiley finance
この図書・雑誌をさがす
注記
Publishing place varies: Hoboken, N.J.
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141
- Evolutions in sustainable investing : strategies, funds & thought leadership
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editors, Cary Krosinsky ; with Nick Robins, Stephen Viederman
Wiley c2012 Wiley finance series
所蔵館4館
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142
- Fixed income securities : tools for today's markets
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Bruce Tuckman, Angel Serrat
Wiley c2012 3rd ed Wiley finance series
: hbk
所蔵館8館
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143
- Investor's guide to loss recovery : rights, mediation, arbitration, and other strategies
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Louis L. Straney
J. Wiley c2011 Wiley finance series
: hardback
所蔵館1館
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144
- Financial statement analysis workbook : step-by-step exercises and tests to help you master financial statement analysis
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Martin Fridson, Fernando Alvarez
Wiley c2011 4th ed Wiley finance series
: pbk
所蔵館3館
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145
- Practitioner's complete guide to M&As : an all-inclusive reference
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David T. Emott
John Wiley & Sons c2011 Wiley finance series
: pbk
所蔵館1館
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146
- The Islamic banking and finance workbook : step-by-step exercises to help you master the fundamentals of Islamic banking and finance
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Brian Kettell
John Wiley 2011 Wiley finance series
: pbk
所蔵館4館
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147
- Optimizing and assessing information technology : improving business project execution
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K. Scott Proctor
Wiley c2011 Wiley finance series
: hardback
所蔵館1館
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148
- Risk in the global real estate market : international risk regulation, mechanism design, foreclosures, title systems, and REITs
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Michael C. .I. Nwogugu
John Wiley & Sons c2011 Wiley finance series
所蔵館2館
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149
- Financial risk management : models, history, and institutions
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Allan M. Malz
J. Wiley & Sons c2011 Wiley finance series
: cloth
所蔵館3館
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150
- Managing to the new regulatory reality : doing business under the Dodd-Frank Act
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Gregory P. Wilson
Wiley c2011 Wiley finance series
所蔵館6館
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151
- Understanding and managing model risk : a practical guide for quants, traders and validators
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Massimo Morini
Wiley 2011 Wiley finance series
: hbk
所蔵館8館
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152
- Water finance : public responsibilities and private opportunities
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Neil S. Grigg
Wiley c2011 Wiley finance series
所蔵館1館
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153
- Financial markets and trading : an introduction to market microstructure and trading strategies
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Anatoly B. Schmidt
Wiley c2011 Wiley finance series
所蔵館7館
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154
- Financial risk forecasting : the theory and practice of forecasting market risk, with implementation in R and Matlab
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Jón Daníelsson
Wiley 2011 Wiley finance series
: hardback
所蔵館6館
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155
- Reverse mortgages and linked securities : the complete guide to risk, pricing, and regulation
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Vishaal Bhuyan
J. Wiley & Sons c2011 Wiley finance series
: hbk
所蔵館3館
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156
- The business of venture capital : insights from leading practitioners on the art of raising a fund, deal structuring, value creation, and exit strategies
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Mahendra Ramsinghani
John Wiley & Sons c2011 Wiley finance series
所蔵館1館
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157
- Handbook of corporate equity derivatives and equity capital markets
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Juan Ramirez
Wiley 2011 Wiley finance series
所蔵館5館
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158
- The risk premium factor : a new model for understanding the volatile forces that drive stock prices
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Stephen D. Hassett
J. Wiley c2011 Wiley finance series
所蔵館1館
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159
- Securitisation and structured finance post credit crunch : a best practice deal lifecycle guide
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Markus Krebsz
Wiley 2011 Wiley finance series
所蔵館4館
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160
- Dynamic economic decision making : strategies for financial risk, capital markets, and monetary policy
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John E. Silvia
Wiley c2011 Wiley finance series
: cloth
所蔵館14館