//]]>
Managing currency options in financial institutions : , Vanna-Volga method / by Lam, Yat-Fai. Publication: Abingdon, Oxon : Routledge, 2016 . xii, 94 p. ; 25 cm. Date:2016 Availability: Copies available: AUM Main Library (1),
Actions: Add to Cart
Modern risk management in banking and finance / by Musa, Taher Publication: Beirut : Union of Arab Banks, 2004 . 189 p. Date:2004 Availability: Copies available: AUM Main Library (2),
Actions: Add to Cart
No cover image available
Quantitative financial risk management / by Miller, Michael B. Publication: Hoboken, New Jersey : Wiley, 2019 . lx, 305 p. ; 26 cm. Date:2019 Availability: Copies available: AUM Main Library (2),
Actions: Add to Cart
Financial risk modelling and portfolio optimization with R / by Pfaff, Bernhard, Publication: Southern Gate, Chichester, West Sussex, UK : Wiley, 2016 . xvii, 426 p ; 24 cm Date:2016 Availability: Copies available: AUM Main Library (2),
Actions: Add to Cart
Model risk in financial markets : , from financial engineering to risk management / by Tunaru, Radu. Publication: Singapore : | Hackensack, NJ : World Scientific Publishing Co. Pte, Ltd., 2015 . xxvii, 353 p. ; 24 cm Date:2015 Availability: Copies available: AUM Main Library (2),
Actions: Add to Cart
1 2

Languages: 
English |
العربية