Frank J. Fabozzi series.

書目資訊
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simulation and optimization in finance :
simulation and optimization in finance :
capital budgeting :
capital budgeting :
quantitative credit portfolio management
quantitative credit portfolio management
robust portfolio optimization and ma...
robust portfolio optimization and management /
probability and statistics for finance /
probability and statistics for finance /
financial advice and investment deci...
financial advice and investment decisions
handbook of alternative assets /
handbook of alternative assets /
handbook of european structured fina...
handbook of european structured financial products /
analysis of financial statements
analysis of financial statements
investing in emerging fixed income m...
investing in emerging fixed income markets /
interest rate, term structure, and v...
interest rate, term structure, and valuation modeling /
robust equity portfolio management +...
robust equity portfolio management + website
measuring and controlling interest r...
measuring and controlling interest rate and credit risk /
mathematics of financial modeling an...
mathematics of financial modeling and investment management /
 
 
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