نتایج جستجو

Credit derivatives and the financial crisis of 2008
G. Tripolitakis, 2009
Financial Valuation Workbook
James Hitchner, 2003
Financial Modeling, 3rd Edition
Simon Benninga, 2008
Fiscal Policy, Taxation and the Financial System in an Increasingly Integrated Europe
Niels Thygesen (auth.), 1992
English for the Financial Sector: Student's Book (Cambridge Exams Publishing)
Ian MacKenzie, 2008
English for the Financial Sector: Teacher’s Book
Ian MacKenzie, 2008
Dangerous Markets: Managing in Financial Crises (Wiley Finance)
Dominic Barton Roberto Newell Gregory Wilson, 2002
Dangerous Markets: Managing in Financial Crises (Wiley Finance)
Dominic Barton Roberto Newell Gregory Wilson, 2002
The First Great Financial Crisis of the 21st Century: A Retrospective
George G Kaufman, 2015
Financial Signal Processing and Machine Learning
Ali N. Akansu, Sanjeev R. Kulkarni, Dmitry M. Malioutov, 2016
Mathematics of Financial Obligations
S. N. Volkov, M. L. Nechaev, A. V. Mel’nikov, 2002
Mathematics of Financial Obligations
S. N. Volkov, M. L. Nechaev, A. V. Mel’nikov, 2002
Essentials of Excel, Excel VBA, SAS and Minitab for Statistical and Financial Analyses
C-F Lee,, John Lee, J-R Chang, Tzu Tai, 2016
Financial signal processing and machine learning
Akansu, Ali N.; Kulkarni, Sanjeev; Malioutov, Dmitry, 2016
Governance and Control of Financial Systems
Gunilla Sundström & Erik Hollnagel, 2011
Financial management in health services
Howarth, Anne; Gruen, Reinhold, 2005
The Financial Mathematics of Market Liquidity: From Optimal Execution to Market Making
Gueant, Olivier, 2016
Essentials of Excel, Excel VBA, SAS and Minitab for Statistical and Financial Analyses
Cheng-Few Lee, John Lee, Jow-Ran Chang, Tzu Tai (auth.), 2016
Financial Liberalisation: Past, Present and Future
Philip Arestis, Malcolm Sawyer (eds.), 2016
Engineering Mathematics I: Electromagnetics, Fluid Mechanics, Material Physics and Financial Engineering
Sergei Silvestrov, Milica Rančić (eds.), 2016
Artificial Intelligence in Financial Markets: Cutting Edge Applications for Risk Management, Portfolio Optimization and Economics
Christian L. Dunis, Peter W. Middleton, Andreas Karathanasopolous, Konstantinos Theofilatos (eds.), 2016