Search Results - "Wiley Finance Series"

  1. 81

    Understanding international bank risk by Fight, Andrew

    Published 2003
    “…Wiley finance series…”
    Click Here to View Status and Holdings.
    Unknown
  2. 82

    Global securitisation and CDOs by Deacon, John 1969-

    Published 2004
    “…Wiley finance series…”
    Click Here to View Status and Holdings.
    Unknown
  3. 83
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    Portfolio theory and performance analysis by Amenc, No?el

    Published 2003
    “…Wiley finance series…”
    Click Here to View Status and Holdings.
    Unknown
  5. 85
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    Applied quantitative methods for trading and investment

    Published 2003
    “…Wiley finance series…”
    Click Here to View Status and Holdings.
    Unknown
  7. 87

    Investment risk management by Chong, Yen Yee

    Published 2004
    “…Wiley finance series…”
    Click Here to View Status and Holdings.
    Unknown
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  11. 91

    Risk measures for the 21st century

    Published 2004
    “…Wiley finance series…”
    Click Here to View Status and Holdings.
    Unknown
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  16. 96

    International corporate governance after Sarbanes-Oxley

    Published 2006
    “…Wiley finance series…”
    Click Here to View Status and Holdings.
    Unknown
  17. 97
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    Derivatives markets, valuation, and risk management by Whaley, Robert E.

    Published 2006
    “…The Wiley finance series…”
    Click Here to View Status and Holdings.
    Unknown
  20. 100