Rachev S.T., Stoyanov S.V., Fabozzi F.J. A Probability Metrics Approach to Financial Risk Measures
приобрести
скачать
(3499.6 kb.)
Доступные файлы (1):
n1.pdf
3500kb.
18.09.2012 23:37
скачать
Смотрите также:
Malz A.M., Financial Risk Management: Models, History, and Institutions
(
Документ
)
Hull J.C. Risk management and Financial institutions
(
Документ
)
Neil A. Doherty. Integrated Risk Management
(
Документ
)
Jorion Philippe. Value at Risk. The New Benchmark for Managing Financial Risk
(
Документ
)
Marc Lore and Lev Borodovsky. The Professional’s Handbook of Financial Risk Management
(
Документ
)
Fabozzi, Frank J., Peterson, Pamela P. Financial Management and Analysis
(
Документ
)
Michel Grouhy, Dan Galai, Robert Mark. The Essentials Of Risk Management
(
Документ
)
Atrill P. Financial Management for Decision Makers
(
Документ
)
Denney David. Risk and Society
(
Документ
)
Ross S. A First Course in Probability
(
Документ
)
Brigham U., Houston E. Fundamentals of Financial Management
(
Документ
)
Shleifer Andrei. Inefficient Markets, An Introduction to Behavioral Finance
(
Документ
)
Лекции
Лабораторные
Справочники
Эссе
Вопросы
Стандарты
Учебный материал
© nashaucheba.ru
При копировании укажите ссылку.
обратиться к администрации