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  1. 1

    ASSET BACKED CREDIT DERIVATIVES: PRODUCTS APPLICATIONS AND MARKETS by NOWELL PETER

    Published 2008
    “…RISK BOOKS…”
    Book
  2. 2

    CREDIT DERIVATIVES : THE DEFINITIVE GUIDE by GREGORY JON

    Published 2003
    “…RISK BOOKS…”
    Book
  3. 3

    ADVANCED MEASUREMENT APPROACH TO OPERATIONAL RISK by DAVIS ELLEN

    Published 2006
    “…RISK BOOKS…”
    Book
  4. 4

    PORTFOLIO ANALYSIS : ADVANCED TOPICS IN PERFORMANCE MEASUREMENT, RISK AND ATTRIBUTION by RYAN TIMOTHY P

    Published 2006
    “…RISK BOOKS…”
    Book
  5. 5

    ENERGY MODELLING : ADVANCES IN THE MANAGEMENT OF UNCERTAINTY by KAMINSKI VINCENT (ED.)

    Published 2005
    “…RISK BOOKS…”
    Book
  6. 6

    REAL OPTIONS AND ENERGY MANAGEMENT : USING OPTIONS METHODOLOGY TO ENHANCE CAPITAL BUDGETING DECISION by RONN EHUD I (ED.)

    Published 2002
    “…RISK BOOKS…”
    Book
  7. 7

    HYBRID PRODUCTS : INSTRUMENTS, APPLICATIONS AND MODELLING by BHATCHVAROV ALEXANDER [ED.]

    Published 2004
    “…RISK BOOKS…”
    Book
  8. 8

    RISK MANAGEMENT FOR INSURERS: RISK CONTROL, ECONOMIC CAPITAL AND SOLVENCY II by DOFF RENE

    Published 2007
    “…RISK BOOKS…”
    Book
  9. 9

    INNOVATION IN RISK MANAGEMENT : SEMINAL PAPERS FROM THE JOURNAL OF RISK by JORION PHILLIPPE

    Published 2004
    “…RISK BOOKS…”
    Book
  10. 10

    IMPLEMENTING SYSTEMS SOLUTIONS FOR FINANCIAL RISK MANAGEMENT by LEVINE ROBERT SCOTT

    Published 2007
    “…RISK BOOKS…”
    Book
  11. 11

    COPULAS : FROM THEORY TO APPLICATION IN FINANCE by RANK (ED.)

    Published 2007
    “…RISK BOOKS…”
    Book
  12. 12

    CREDIT RISK MANAGEMENT & BASEL II : AN IMPLEMENTATION GUIDE by BHATIA MOHAN

    Published 2006
    “…RISK BOOKS…”
    Book
  13. 13

    INTELLIGENT COMMODITY INVESTING : NEW STRATEGIES AND PRACTICAL INSIGHTS FOR INFORMED DECISION MAKING by TILL HILARY EAGLEE JOSEPH

    Published 2007
    “…RISK BOOKS…”
    Book
  14. 14

    INFLATION - LINKED PRODUCTS : A GUIDE FOR INVESTORS AND ASSET & LIABILITY MANAGERS by BENABEN BRICE (ED.)

    Published 2005
    “…RISK BOOKS…”
    Book
  15. 15

    CREDIT : THE COMPLETE GUIDE TO PRICING, HEDGING AND RISK MANAGEMENT by ARVANITIS ANGLO

    Published 2001
    “…RISK BOOKS…”
    Book
  16. 16

    WEALTH MANAGER`S GUIDE TO STRUCTURED PRODUCT by BENSON ROBERT

    Published 2004
    “…RISK BOOKS…”
    Book
  17. 17

    VOLATILITY AS AN ASSET CLASS by NELKEN ISRAEL

    Published 2007
    “…RISK BOOKS…”
    Book
  18. 18

    ECONOMIC CAPITAL MODELLING : CONCEPTS, MEASUREMENT AND IMPLEMENTATION by LELYVELD IMAN VAN (ED.)

    Published 2006
    “…RISK BOOKS…”
    Book
  19. 19

    OPERATIONAL RISK MODELLING AND ANALYSIS : THEORY AND PRACTICE by CRUZ MARCELO (ED.)

    Published 2004
    “…RISK BOOKS…”
    Book
  20. 20

    PERFORMANCE MEASUREMENT IN FINANCIAL INSTITUTIONS IN AN ERM FRAMEWORK by DEV ASHISH

    Published 2006
    “…RISK BOOKS…”
    Book