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173 books found   ►also search"portfolio management" in ,
ID Author(s) Title Publisher Year Pages Language Size Extension GET
1046820 Richard Silberglitt, Brian G. Chow, Michael S. Tseng, Eric Landree, Lance Sherry A Delicate Balance: Portfolio Analysis and Management for Intelligence Information Dissemination Programs
0833049097, 9780833049094
Rand Publishing 2009 64 English 4 Mb pdf GET
480327 Eric Landree, Richard Silberglitt A Delicate Balance: Portfolio Analysis and Management for Intelligence Information Dissemination Programs
978-0-8330-4909-4
RAND Corporation 2010 65 English 565 kb pdf GET
256352 Jeffrey R. Bohn, Roger M. Stein Wiley finance
Active Credit Portfolio Management in Practice
0470080183, 9780470080184
Wiley 2009 643 English 5 Mb pdf GET
1161291 Richard Grinold, Ronald Kahn Active Portfolio Management: A Quantitative Approach for Producing Superior Returns and Controlling Risk [2 ed.]
0070248826, 9780070248823
McGraw-Hill 1999 596 English 28 Mb epub GET
307057 Richard Grinold, Ronald Kahn Active Portfolio Management: A Quantitative Approach for Producing Superior Returns and Controlling Risk [2 ed.]
0070248826, 9780070248823, 9780071376952
McGraw-Hill 1999 621 English 6 Mb pdf GET
268901 Frank J. Fabozzi, Lionel Martellini, Philippe Priaulet Frank J. Fabozzi series
Advanced bond portfolio management: best practices in modeling and strategies
9780471678908, 0471678902
Wiley 2006 578 English 14 Mb pdf GET
211067 Gerald I. Kendall, Steve C. Rollins Advanced Project Portfolio Management And The Pmo Multiplying Roi At Warp Speed
9781932159028, 1932159029
J. Ross Publishing 2003 434 English 4 Mb chm GET
432867 Gerald I. Kendall, Steve C. Rollins Advanced Project Portfolio Management and the PMO: Multiplying ROI at Warp Speed
1932159029, 9781932159028
J. Ross Publishing 2003 434 English 4 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
733492 Cheng-Few Lee Advances in Investment Analysis and Portfolio Management, Volume 8, Volume 8 [1 ed.]
0762307986, 9780762307982
JAI Press 2001 345 English 3 Mb pdf GET
306644 Cheng-Few Lee Advances in Investment Analysis and Portfolio Management, Volume 8, Volume 8 [1 ed.]
0762307986
JAI Press 2001 345 English 2 Mb pdf GET
647044 Cheng-Few Lee Advances in Investment Analysis and Portfolio Management, Volume 9 (Advances in Investment Analysis and Portfolio Management) [1 ed.]
0762308877, 9780762308873, 9780080545059
JAI Press 2002 289 English 2 Mb pdf GET
913977 Cheng F Lee Advances in investment analysis and portfolio management. / Volume 8
9780080543970, 0080543979, 128102564X, 9781281025647
JAI 2001 345 English 3 Mb pdf GET
457505 Jochen Krebs Agile Portfolio Management [1 ed.]
0735625670, 9780735625679
Microsoft Press 2008 240 English 4 Mb chm GET
882690 Christian Ohlms Gabler Edition Wissenschaft
Aktives Investmentportfolio-Management : Optimierung von Portfolios aus derivatebasierten dynamischen Investmentstrategien
9783835091115, 3835091115
Deutscher Universitäts-Verlag 2006 281 German 11 Mb pdf GET
1293116 Marcus Schulmerich, Yves-Michel Leporcher, Ching-Hwa Eu (auth.) Management for Professionals
Applied Asset and Risk Management: A Guide to Modern Portfolio Management and Behavior-Driven Markets [1 ed.]
978-3-642-55443-8, 978-3-642-55444-5
Springer-Verlag Berlin Heidelberg 2015 476 English 11 Mb pdf GET
1172521 Robert A. Weigand Applied Equity Analysis and Portfolio Management: Tools to Analyze and Manage Your Stock Portfolio [1st ed.]
1118630912, 9781118630914
Wiley 2014 336 English 34 Mb pdf GET
351144 Catherine Shenoy, Kent McCarthy Wiley Finance
Applied Portfolio Management: How University of Kansas Students Generate Alpha to Beat the Street
0470041722, 9780470041727, 9780470280195
Wiley 2008 282 English 3 Mb pdf GET
448736 Catherine Shenoy, Kent McCarthy Applied Portfolio Management: How University of Kansas Students Generate Alpha to Beat the Street (Wiley Finance) [1 ed.]
0470041722, 9780470041727, 9780470280195
2008 282 English 2 Mb pdf GET
920144 Kerry Back Financial Management Association Survey and Synthesis Series
Asset Pricing and Portfolio Choice Theory [1 ed.]
0195380614, 9780195380613
Oxford University Press, USA 2010 504 English 18 Mb pdf GET
1303392 Kerry Back Financial Management Association Survey and Synthesis Series
Asset Pricing and Portfolio Choice Theory [1 ed.]
0195380614, 9780195380613
Oxford University Press 2010 504 English 2 Mb pdf GET
1247425 Donald D. Hester Bank Management & Portfolio Behavior Yale University Press 1975 317 English 3 Mb djvu GET
603971 Donald Hester and James Pierce Bank Management and Portfolio Behavior 1975 317 English 8 Mb pdf GET
1504592 Kohl, Kristina Best Practices and Advances in Program Management
Becoming a sustainable organization : a project and portfolio management approach
978-1-4987-0083-2, 1498700837
CRC Press 2016 333 English 8 Mb pdf GET
1119089 Michael Pompian Wiley Finance
Behavioral Finance and Wealth Management: How to Build Optimal Portfolios That Account for Investor Biases [2 ed.]
1118014324, 9781118014325
Wiley 2012 324 English 3 Mb mobi GET
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 Prof. Dr. Heinz Zemanek (auth.), Andrei P. Ershov, Donald E. Knuth (eds.)
Иванов В.П. ,Батраков А.В.
Grenander U., Miller M.I.
Мэйтленд А., Данн М. (Maitland,Dunn)
Nicolas Bourbaki
Босс В.
Винберг Э.Б.
Michel Marie Deza, Monique Laurent (auth.)
Alexander Polishchuk
Дубровина Т., Дубровин Н.
Simon R. Blackburn, Peter M. Neumann OBE, Geetha Venkataraman
James E. Humphreys
Handrock S.

Болибрух А.А.
Домрин А.В., Сергеев А.Г.
Kuttler K.
Брюно А.Д.
Стеклов В.А.
Мышкис А.Д.

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