نتایج جستجو
The Public Sector R&D Enterprise: A New Approach to Portfolio Valuation
Peter D. Linquiti (auth.), 2015
Strategic Information Technology and Portfolio Management
Albert Wee Kwan Tan, 2008
Strategic Information Technology and Portfolio Management
Albert Wee Kwan Tan, 2008
Trading Systems: A New Approach to System Optimisation and Portfolio Construction
Emilio Tomasini, 2009
Trading Systems: A New Approach to System Optimisation and Portfolio Construction
Emilio Tomasini, 2009
Multicriteria Portfolio Management
Panos Xidonas, 2012
Bond Portfolio Investing and Risk Management
Vineer Bhansali, 2010
Community Banking Strategies: Steady Growth, Safe Portfolio Management, and Lasting Client Relationships
Vincent Boberski(auth.), 2010
Dynamic Portfolio Strategies: Quantitative Methods and Empirical Rules for Incomplete Information
Nikolai Dokuchaev (auth.), 2002
Energy Trading and Risk Management: A Practical Approach to Hedging, Trading and Portfolio Diversification
Iris Marie Mack PhDEMBA, 2014
Fixed-income securities: valuation, risk management, and portfolio strategies
Lionel Martellini, 2003
Strategic risk management : a practical guide to portfolio risk management
David Iverson, 2013
Bond Portfolio Optimization
Dr. Michael Puhle (auth.), 2008
Bond Portfolio Optimization
Dr. Michael Puhle (auth.), 2008
Linear and Mixed Integer Programming for Portfolio Optimization
Renata Mansini, 2015
Portfolio Theory. With Application to Bank Asset Management
Giorgio P. Szegö, 1980
