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by 
Florescu, Ionuţ, 1973-, editor.
Format: 
Alıntı: 
simple correlation model 88 4.5.2 The restricted minimum-risk model 91 4.5.3 The WMIS minimum-risk, max
by 
Steiner, Andreas, (Economist), author.
Format: 
Alıntı: 
Global imbalances, financial crises, and central bank policies / Steiner, Andreas, (Economist
by 
Kang, Tong-su, editor.
Format: 
Alıntı: 
Financial risk management.
by 
Goldin, Ian, 1955- author
Format: 
Alıntı: 
The butterfly defect : how globalization creates systemic risks, and what to do about it / Goldin
by 
Harvard University Forum on Islamic Finance (11th : d Cambridge, Mass.),
Format: 
Alıntı: 
product analysis -- 9. The nature of retakaful: risk sharing or transferring risks? / Abu Umar Faruq Ahmad
by 
Damill, Mario, editor.
Format: 
Alıntı: 
Roldan 3. Financial Fragility, Price Indexes, and Investment Financing, by Julio Dreizzen 4. Uncertainty
by 
Hastings, Kevin J., 1955- author
Format: 
Alıntı: 
Introduction to financial mathematics / Hastings, Kevin J., 1955- author
by 
Strangio, Donatella, editor.
Format: 
Alıntı: 
approach to unlevered risk in a financial and managerial perspective; Antonio Renzi, Giuseppe Sancetta and
by 
Curran, Dean, 1979- author.
Format: 
Alıntı: 
Risk, power, and inequality in the 21st century / Curran, Dean, 1979- author.
by 
Annual International Banking Conference (17th : 2014 : Federal Reserve Bank of Chicago)
Format: 
Alıntı: 
The new international financial system : analyzing the cumulative impact of regulatory reform /
by 
Wahyudi, Imam, 1981-
Format: 
Alıntı: 
Risk management for Islamic banks : recent developments from Asia and the Middle East / Wahyudi
by 
Mishkin, Frederic S.
Format: 
Alıntı: 
The economics of money, banking, and financial markets / Mishkin, Frederic S.