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by 
Bleikh, Haim Y. author
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Alıntı: 
knowledge of related time series adjustment procedures is essential in areas such as risk management
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Financial econometrics and empirical market microstructure /
by 
Dorf, Richard C.
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: Competitive Strategy Chapter 5: Innovation Strategies Part 2: Venture Formation and Planning Chapter 6: Risk
by 
Hadri, Kaddour, editor.
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-based multivariate approach / Ruijun Bu, Ludovic Giet, Kaddour Hadri and Michel Lubrano -- Financial risk management
by 
Szylar, Christian. author
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Financial risk management
by 
Russ, Meir. edited
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Management, valuation, and risk for human capital and human assets building the foundation for a
by 
Bodie, Zvi, author
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Portfolio management.
by 
Fabozzi, Frank J. author
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Foundations of financial markets and institutions / Fabozzi, Frank J. author
by 
Rüdiger, Klaus., editor.
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New business enterprises -- Management.
by 
Sarlin, Peter, author.
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Computational Risk Management,
Format: 
Alıntı: 
and finance -- Risk management in Islamic banking -- Innovation in liquidity management instruments