Search Results - "Wiley Finance"
Suggested Topics within your search.
Suggested Topics within your search.
- Finance 46
- Risk management 31
- Islam 26
- Mathematical models 26
- Religious aspects 25
- Banks and banking 22
- Investments 22
- Portfolio management 19
- Valuation 19
- Investment analysis 18
- Corporations 14
- Financial institutions 12
- Capital market 10
- Derivative securities 10
- Decision making 9
- Management 9
- Financial risk management 8
- Hedge funds 8
- Prices 8
- Fixed-income securities 7
- Futures 7
- Stocks 7
- Options (Finance) 6
- Real estate investment 6
- Stock-exchange 6
- Accounting 5
- Economics 5
- Financial futures 5
- Futures market 5
- Hedging (Finance) 5
-
141
Fixed-income securities valuation, risk management, and portfolio strategies
Published 2003“…Wiley finance series…”
Click Here to View Status and Holdings.
Book -
142
Portfolio theory and performance analysis
Published 2003“…Wiley finance series…”
Click Here to View Status and Holdings.
Book -
143
Credit derivatives pricing models models, pricing, and implementation
Published 2003“…Wiley finance series…”
Click Here to View Status and Holdings.
Book -
144
Applied quantitative methods for trading and investment
Published 2003“…Wiley finance series…”
Click Here to View Status and Holdings.
Book -
145
Investment risk management
Published 2004“…Wiley finance series…”
Click Here to View Status and Holdings.
Book -
146
Corporate governance and risk a systems approach
Published 2003“…Wiley finance series…”
Click Here to View Status and Holdings.
Book -
147
Active investment management finding and harnessing investment skill
Published 2003“…Wiley finance series…”
Click Here to View Status and Holdings.
Book -
148
Modern investment management an equilibrium approach
Published 2003“…Wiley finance series…”
Click Here to View Status and Holdings.
Book -
149
Risk measures for the 21st century
Published 2004“…Wiley finance series…”
Click Here to View Status and Holdings.
Book -
150
Investment manager analysis a comprehensive guide to portfolio selection, monitoring, and optimization
Published 2004“…Wiley finance series…”
Click Here to View Status and Holdings.
Book -
151
A practical guide to forecasting financial market volatility
Published 2005“…The Wiley finance series…”
Click Here to View Status and Holdings.
Book -
152
Managing lease portfolios how to increase return and control risk
Published 2006“…Wiley finance series…”
Click Here to View Status and Holdings.
Book -
153
Interest rate risk modeling the fixed income valuation course
Published 2005“…Wiley finance series…”
Click Here to View Status and Holdings.
Book -
154
International corporate governance after Sarbanes-Oxley
Published 2006“…Wiley finance series…”
Click Here to View Status and Holdings.
Book -
155
Pension revolution a solution to the pensions crisis
Published 2007“…The Wiley finance series…”
Click Here to View Status and Holdings.
Book -
156
Applied risk analysis moving beyond uncertainty in business
Published 2004“…Wiley finance series…”
Click Here to View Status and Holdings.
Book -
157
Derivatives markets, valuation, and risk management
Published 2006“…The Wiley finance series…”
Click Here to View Status and Holdings.
Book -
158
Modeling risk applying Monte Carlo simulation, real options analysis, forecasting, and optimization techniques
Published 2006“…Wiley finance series…”
Click Here to View Status and Holdings.
Book -
159
The mathematics of derivatives tools for designing numerical algorithms
Published 2007“…Wiley finance series…”
Click Here to View Status and Holdings.
Book -
160
Handbook of hedge funds
Published 2006“…Wiley finance series…”
Click Here to View Status and Holdings.
Book