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Economics%2FFinances The Handbook of Asset%2FLiability Management: State of Art Investment Strategies, Risk Controls and Regulatory Required (Hardcover)



 
 
 
 

Economics%2FFinances The Handbook of Asset%2FLiability Management: State of Art Investment Strategies, Risk Controls and Regulatory Required (Hardcover)


Results Economics%2FFinances The Handbook of Asset%2FLiability Management: State of Art Investment Strategies, Risk Controls and Regulatory Required (Hardcover) Ebook : 1 to 12 of 600
 
Economics%2FFinances The Handbook of Asset%2FLiability Management: State of Art Investment Strategies, Risk Controls and Regulatory Required (Hardcover)

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The Handbook of Asset/Liability Management: State-of-Art Investment Strategies, Risk Controls and Regulatory Required (Hardcover) Economics/Finances The Handbook of Asset/Liability Management: State-of-Art Investment Strategies, Risk Controls and Regulatory Required (Hardcover)
Author: by Frank J Fabozzi (Author), Atuso Konishi (Author)Publisher: McGraw-HillPublish Date: October 1, 1995Pages: 506Book DescriptionCompletely revised and updated, the Handbook of Assetiability Management helps you keep your protfolio i ...  
Tags : Hardcover   Liability   Asset   Handbook   Investment   , Posted on 2010-03-16
 
Handbook of Asset and Liability Management: From Models to Optimal Return Strategies (The Wiley Finance Series) (Hardcover) Economics/Finances Handbook of Asset and Liability Management: From Models to Optimal Return Strategies (The Wiley Finance Series) (Hardcover)
Author: Alexandre AdamPublisher: WileyPublish Date: January 2, 2008Pages: 576Book DescriptionIn the Handbook of Asset and Liability Management: From Models to Optimal Return Strategies, Alexandre Adam presents a comprehensive guide to Asset ...  
Tags : Hardcover   Liability   Asset   Handbook   Finance   , Posted on 2010-03-16
 
Endowment Asset Management: Investment Strategies in Oxford and Cambridge Economics/Finances Endowment Asset Management: Investment Strategies in Oxford and Cambridge
Shanta Acharya, Elroy Dimson, "Endowment Asset Management: Investment Strategies in Oxford and Cambridge" Oxford University Press; 2007; ISBN: 0199210918; 336 pages; PDF; 1,1 MB There is a profound linkage between the quality of a un ...  
Tags : Endowment   Asset   Investment   Management   Cambridge   , Posted on 2010-03-16
 
Risk Management And Value: Valuation and Asset Pricing (World Scientific Studies in International Economics) Risk Management and Value: Valuation and Asset Pricing (World Scientific Studies in International Economics)
Author: Publisher: World Scientific Publishing Company (2008)Binding: Hardcover, 644 pagespricer: $178.00ISBN-10: 9812770739editorialreviewsThis book provides a comprehensive discussion of the issues related to risk, volatility, value and r ...  
Tags : Valuation   Pricing   Asset   Studies   Economics   , Posted on 2010-04-14
 
Scenarios for Risk Management and Global Investment Strategies Economics/Finances Scenarios for Risk Management and Global Investment Strategies
Rachel E. S. Ziemba, William T. Ziemba “Scenarios for Risk Management and Global Investment Strategies" Wiley; 2008-01-09; ISBN: 0470319240; 334 pages; PDF; 2,85 MB This book discusses scenarios for risk management and developing gl ...  
Tags : Investment   Management   Global   Risk   Scenarios   , Posted on 2010-03-15
 
The New Science of Asset Allocation: Risk Management in a Multi-Asset World Economics/Finances The New Science of Asset Allocation: Risk Management in a Multi-Asset World
Thomas Schneeweis, Garry B. Crowder, Hossein Kazemi, "The New Science of Asset Allocation: Risk Management in a Multi-Asset World" Wiley; 2010; ISBN: 047053740X; 294 pages; PDF; 4 MB A feasible asset allocation framework for the po ...  
Tags : Allocation   Asset   Science   Management   , Posted on 2010-05-09
 
Asset and Risk Management: Risk Oriented Finance Economics/Finances Asset and Risk Management: Risk Oriented Finance
Risk management has truly undergone a revolution in the last decade. It was just over 10 years ago, in July 1993, that the Group of 30 (G-30) officially promulgated best practices for the management of derivatives.1 Even though the G-30 iss ...  
Tags : Asset   Finance   Management   Risk   Oriented   , Posted on 2010-10-13
 
Guide to Investment Strategy: How to Understand Markets, Risk, Rewards And Behavior (Economist (Hardcover)) Guide to Investment Strategy: How to Understand Markets, Risk, Rewards and Behavior (Economist (Hardcover))
Author: Peter StanyerPublisher: Bloomberg Press (2006)Binding: Hardcover, 250 pagespricer: $27.95ISBN-10: 1576602370editorialreviewsInvestors and their advisors face a dizzying array of options when selecting investments. How to choose the ...  
Tags : Hardcover   Economist   Strategy   Investment   Behavior   , Posted on 2010-04-13
 
The Art of Asset Allocation: Principles and Investment Strategies for Any Market, Second Edition By David Darst Technical The Art of Asset Allocation: Principles and Investment Strategies for Any Market, Second Edition By David Darst
David Darst, «The Art of Asset Allocation: Principles and Investment Strategies for Any Market, Second Edition»Publisher: McGraw-Hill; 2 edition (May 7, 2008); ISBN-10: 0071592946; ISBN-13: 978-0071592949; 400 Pages; PDF; 1.88 MBThe ...  
Tags : Allocation   Asset   Investment   Market   Edition   , Posted on 2010-09-13
 
Bank Asset & Liability Management: Strategy, Trading, Analysis (Wiley Finance) (Hardcover) Economics/Finances Bank Asset & Liability Management: Strategy, Trading, Analysis (Wiley Finance) (Hardcover)
Author: Moorad ChoudhryPublisher: WileyPublish Date: April 13, 2007Pages: 1440Book DescriptionBanks are a vital part of the global economy, and the essence of banking is asset-liability management (ALM). This book is a comprehensive treatme ...  
Tags : Hardcover   Liability   Asset   Trading   Strategy   , Posted on 2010-03-16
 
Asset Risk Management Business Asset Risk Management
  
Tags : Asset   Management   Risk   , Posted on 2010-03-15
 
Asset & Risk Management Business Asset & Risk Management
Louis Esch, Robert Kieffer, Thierry Lopez, "Asset & Risk Management"Wiley; 2005-03-25; ISBN: 0471491446; 424 pages; PDF; 1,8 MBThe aim of this book is to study three essential components of modern finance – Risk Management, Asset ...  
Tags : Asset   Management   Risk   , Posted on 2010-04-14
 



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