نتایج جستجو
Financial Risk Management: A Practitioner's Guide to Managing Market and Credit Risk
Steve L. Allen, 2012
Financial Risk Management: A Practitioner's Guide to Managing Market and Credit Risk
Steve L. Allen, 2012
Risk Management in Credit Portfolios: Concentration Risk and Basel II
Martin Hibbeln (auth.), 2010
Risk Management in Credit Portfolios: Concentration Risk and Basel II
Martin Hibbeln (auth.), 2010
Option-Implied Risk-Neutral Distributions and Risk Aversion
Jens Carsten Jackwerth, 2004
The Measurement of Market Risk: Modelling of Risk Factors, Asset Pricing, and Approximation of Portfolio Distributions
Dr. Pierre-Yves Moix (auth.), 2001
Non-Expected Utility and Risk Management: A Special Issue of the Geneva Papers on Risk and Insurance Theory
Christian Gollier (auth.), 1995
Risk Regulation at Risk: Restoring a Pragmatic Approach
Sidney Shapiro, 2002
Price Regulation and Risk: The Impact of Regulation System Shifts on Risk Components
Michael Hierzenberger (auth.), 2010
Price Regulation and Risk: The Impact of Regulation System Shifts on Risk Components
Michael Hierzenberger (auth.), 2010
Uncertainty in Risk Assessment, Risk Management, and Decision Making
Miller B. Spangler (auth.), 1987
Regional-scale risk assessment : the relative risk approach
Wayne G Landis, 2004
Fundamentals of risk analysis and risk management
Vlasta Molak, 1997
Managing Operational Risk: Practical Strategies to Identify and Mitigate Operational Risk within Financial Institutions
Douglas Robertson (auth.), 2016
Risk-based reliability analysis and generic principles for risk reduction
Michael T. Todinov, 2006
Risk-Based Reliability Analysis and Generic Principles for Risk Reduction
Michael T. Todinov, 2007
Risk-based reliability analysis and generic principles for risk reduction
Michael T. Todinov, 2006
Risk-Based Waste Classification in California (Compass Series)
Committee on Risk-Based Criteria for Non-RCRA Hazardous Waste, 1999
