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420 books found   ►also search"financial risk" in ,
ID Author(s) Title Publisher Year Pages Language Size Extension GET
2154420 Christian Hugo Hoffmann (auth.) Assessing Risk Assessment: Towards Alternative Risk Measures for Complex Financial Systems [1 ed.]
978-3-658-20031-2, 978-3-658-20032-9
Gabler Verlag 2017 XIV, 377 English 11 Mb pdf GET
1479712 Bernhard Winkler, Ad van Riet, Peter Bull (eds.) Palgrave Studies in Economics and Banking
A Flow-of-Funds Perspective on the Financial Crisis: Volume II: Macroeconomic Imbalances and Risks to Financial Stability
978-1-349-46946-8, 978-1-137-35301-6
Palgrave Macmillan UK 2014 English 3 Mb pdf GET
589588 Philippe Jorion A kockáztatott érték Value at Risk: The New Benchmark for Managing Financial Risk
9789635451791, 9635451792
156 Hungarian 52 Mb pdf GET
739974 Svetlozar T. Rachev, Stoyan V. Stoyanov, Frank J. Fabozzi A Probability Metrics Approach to Financial Risk Measures [1 ed.]
1405183691, 9781405183697, 9781444392715
Wiley-Blackwell 2011 387 English 3 Mb pdf GET
813635 Svetlozar T. Rachev, Stoyan V. Stoyanov, Frank J. Fabozzi A Probability Metrics Approach to Financial Risk Measures [1 ed.]
1405183691, 9781405183697
John Wiley and Sons 2011 392 English 3 Mb pdf GET
824248 Svetlozar T. Rachev, Stoyan V. Stoyanov, Frank J. Fabozzi CFA A Probability Metrics Approach to Financial Risk Measures [1 ed.]
1405183691, 9781405183697
Wiley-Blackwell 2011 392 English 2 Mb pdf GET
857254 Svetlozar T. Rachev, Stoyan V. Stoyanov, Frank J. Fabozzi CFA A Probability Metrics Approach to Financial Risk Measures [1 ed.]
9781405183697, 1405183691
Wiley 2011 392 English 2 Mb pdf GET
1154266 Svetlozar T. Rachev, Stoyan V. Stoyanov, Frank J. Fabozzi CFA A Probability Metrics Approach to Financial Risk Measures [1 ed.]
1405183691, 978-1-4051-8369-7
Wiley-Blackwell 2011 392 English 4 Mb pdf GET
466839 Financial Executives Research Foundation; Inc. A Top-Down Approach to Risk Management and Internal Control-Issue #4: Relying on Ongoing Monitoring to Test Controls Performance, to Reduce the Scope of Separate Testing [2007 ed.]
1933130482, 9781933130484, 9781429469104
2007 22 English 107 kb pdf GET
1690952 Camilleri, Emanuel Accounting for financial instruments : a guide to valuation and risk management
9781315299419, 1315299410
Routledge 2017 0 English 3 Mb pdf GET
995382 Donald R. van Deventer, Kenji Imai, Mark Mesler(auth.) Advanced Financial Risk Management, Second Edition: Tools and Techniques for Integrated Credit Risk and Interest Rate Risk Management
9781118278543, 9781118597217
2013 864 English 7 Mb pdf GET
935143 Donald R. Van Deventer, Kenji Imai, Mark Mesler Wiley Finance
Advanced Financial Risk Management: Tools and Techniques for Integrated Credit Risk and Interest Rate Risk Management [2 ed.]
1118278542, 9781118278543
Wiley 2013 784 English 14 Mb pdf GET
1102473 Donald R. Van Deventer, Kenji Imai, Mark Mesler Wiley Finance
Advanced Financial Risk Management: Tools and Techniques for Integrated Credit Risk and Interest Rate Risk Management [2 ed.]
1118278542, 9781118278543
Wiley 2013 784 English 11 Mb pdf GET
1477505 Jonathan A. Batten, Peter MacKay, Niklas Wagner (eds.) Advances in Financial Risk Management: Corporates, Intermediaries and Portfolios
978-1-349-43874-7, 978-1-137-02509-8
Palgrave Macmillan UK 2013 English 3 Mb pdf GET
1357008 Gareth W. Peters, Pavel V. Shevchenko Wiley Handbooks in Financial Engineering and Econometrics
Advances in Heavy Tailed Risk Modeling: A Handbook of Operational Risk [1 ed.]
1118909534, 9781118909539
Wiley 2015 656 English 4 Mb pdf GET
1291159 Ronan M. Factora (eds.) Aging Medicine
Aging and Money: Reducing Risk of Financial Exploitation and Protecting Financial Resources [1 ed.]
978-1-4939-1319-0, 978-1-4939-1320-6
Humana Press 2014 204 English 3 Mb pdf GET
390263 Christian Bluhm, Ludger Overbeck, Christoph Wagner Chapman & Hall/Crc Financial Mathematics Series
An Introduction to Credit Risk Modeling [1 ed.]
158488326X, 9781584883265
Chapman and Hall/CRC 2002 297 English 5 Mb pdf GET
1247811 Christian Bluhm, Ludger Overbeck, Christoph Wagner Chapman & Hall/Crc Financial Mathematics Series
An Introduction to Credit Risk Modeling [1 ed.]
1-58488-326-X
Chapman and Hall/CRC 2002 285 English 3 Mb djvu GET
1545117 Robert A. Jarrow, Arkadev Chatterjea An Introduction to Derivative Securities, Financial Markets, and Risk Management [1 ed.]
0393913074, 9780393913071
W. W. Norton & Company 2013 798 English 10 Mb pdf GET
1035553 R. ''Tee'' Williams (Auth.) An Introduction to Trading in the Financial Markets: Global Markets, Risk, Compliance, and Regulation
978-0-12-374837-9
Academic Press 2012 427 English 73 Mb pdf GET
233611 Hennie Van Greuning, Sonja Brajovic Bratanovic Analyzing and Managing Banking Risk: A Framework for Assessing Corporate Governance and Financial Risk [3 ed.]
0821377280, 9780821377284
World Bank Publications 2009 442 English 5 Mb pdf GET
678421 Hennie van Greuning, Sonja Brajovic Bratanovic Analyzing banking risk: a framework for assessing corporate governance and financial risk management
082134417X, 9780821344170
World Bank 2000 English 2 Mb epub GET
558181 Hennie Van Greuning, Sonja Brajovic Bratanovic Analyzing Banking Risk: A Framework for Assessing Corporate Governance and Financial Risk, 3rd Edition [3 ed.]
9780821377284, 9780821378984, 0821377280
2009 440 English 4 Mb pdf GET
1582953 Waleed Alhosani (auth.) Palgrave Studies in Risk, Crime and Society
Anti-Money Laundering: A Comparative and Critical Analysis of the UK and UAE's Financial Intelligence Units [1 ed.]
978-1-137-59454-9, 978-1-137-59455-6
Palgrave Macmillan UK 2016 XIX, 402 English 7 Mb pdf GET
1605435 Christian L. Dunis, Peter W. Middleton, Andreas Karathanasopolous, Konstantinos Theofilatos (eds.) New Developments in Quantitative Trading and Investment
Artificial Intelligence in Financial Markets: Cutting Edge Applications for Risk Management, Portfolio Optimization and Economics [1 ed.]
978-1-137-48879-4, 978-1-137-48880-0
Palgrave Macmillan UK 2016 XV, 344 English 8 Mb pdf GET
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