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Post-crisis risk management : , bracing for the next perfect storm /
by Oyama, Tsuyoshi
Publication:
Hoboken, N.J : Wiley, 2010
. xviii, 198 p.
Date:2010
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Infrastructure as an asset class : , investment strategies, project finance and PPP /
by Weber, Barbara.
Publication:
Chichester, England. : Wiley, 2010
. xxi, 262 p. :
25 cm.
Date:2010
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The art of Islamic banking and finance : , tools and techniques for community-based banking /
by Abdul-Rahman, Yahia,
Publication:
Hoboken, N.J. : Wiley, 2010
. xxxv, 396 p. :
24 cm.
Date:2010
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Intangible assets : , valuation and economic benefit /
by Cohen, Jeffrey A.,
Publication:
Hoboken, N.J : Wiley, 2005
. xiii, 161 p. ;
24 cm.
Date:2005
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(2),
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Fundamentals of financial instruments : , an introduction to stocks, bonds, foreign exchange, and derivatives /
by Parameswaran, Sunil K.,
Publication:
Singapore : Wiley, 2011
. xv, 560 p. :
24 cm.
Date:2011
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Fundamentals of corporate finance /
by Ross, Stephen A.
Publication:
Boston, MA : McGraw-Hill, 2010
. xli, 708, [a1-i27] p. :
25 cm.
Date:2010
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Introduction to financial management /
by Schall, Lawrence D.
Publication:
New York : McGraw-Hill, 1983
. xviii, 845 p. :
25 cm.
Date:1983
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Introduction to investments /
by Christy, George A.
Publication:
New York : McGraw-Hill, 1978
. ix, 742 p. :
25 cm.
Date:1978
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Modern financial accounting /
by Lee, G. A.
Publication:
Wokingham, Berkshire, England : Van Nostrand Reinhold, 1983
. ix, 576 p. ;
25 cm.
Date:1983
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Principles of risk management and insurance /
by Rejda, George E.,
Publication:
Boston, MA : Prentice Hall, 2011
. xvii, 730 p. :
26 cm.
Date:2011
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Principles of managerial finance /
by Gitman, Lawrence J.
Publication:
Harlow, England : Pearson Education, 2012
. xlix, 796, [93] p. :
26 cm.
Date:2012
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Financial Modeling
by Crépey, Stéphane.
Publication:
. XIX, 459 p. 13 illus. in color.
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Computational Methods for Quantitative Finance
by Hilber, Norbert.
Publication:
. XIII, 299 p. 57 illus., 48 illus. in color.
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Optimal Investment
by Rogers, L. C. G.
Publication:
. X, 156 p. 44 illus., 3 illus. in color.
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Discrete Time Series, Processes, and Applications in Finance
by Zumbach, Gilles.
Publication:
. XXI, 317 p. 103 illus., 101 illus. in color.
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Financial Modeling, Actuarial Valuation and Solvency in Insurance
by Wüthrich, Mario V.
Publication:
. XIV, 432 p. 100 illus., 2 illus. in color.
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Analytically Tractable Stochastic Stock Price Models
by Gulisashvili, Archil.
Publication:
. XVII, 359 p.
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Contract Theory in Continuous-Time Models
by Cvitanić, Jakša.
Publication:
. XII, 255 p.
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Option Prices as Probabilities
by Profeta, Cristophe.
Publication:
. XXI, 270p. 3 illus.
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Applications of Fourier Transform to Smile Modeling
by Zhu, Jianwei.
Publication:
. XV, 330 p.
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