Investments - Mathematical models.
概要
作品: | 65 作品在 16 項出版品 16 種語言 |
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書目資訊
Optimal risk-return trade-offs of commercial banks : = and the suitability of profitability measures for loan portfolios /
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Generalized Modigliani-Miller theory = applications in corporate finance, investments, taxation and ratings /
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Spreadsheet modeling in investments : = 2002 edition to accompany other popular investments textbooks /
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Footprints of chaos in the markets : = analyzing non-linear time series in financial markets and other real systems /
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The term structure of interest rates; = financial intermediaries and debt management
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Modeling financial markets = using Visual Basic.NET and databases to create pricing, trading, and risk management models /
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Quality money management = process engineering and best practices for systematic trading and investment /
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The microscopic simulation of financial markets = from investor behavior to market phenomena /
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Modelling, pricing, and hedging counterparty credit exposure = a technical guide /
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Asset markets, portfolio choice and macroeconomic activity = a Keynesian perspective /
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Robust equity portfolio management + website = formulations, implementations, and properties using MATLAB /
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Portfolio management under stress = a Bayesian-net approach to coherent asset allocation /
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