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Saunders, Anthony, 1949-
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Credit risk measurement : new approaches to value at risk and other paradigms / Saunders, Anthony
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Debreu, Gerard., editor.
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Economics – 3. The Role of Securities in the Optimal Allocation of Risk-bearing – 4. Existence of an
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Lewis, Mervyn., editor.
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. Brian Quinn (1995), 'Derivatives and Risk Management: Insight from the Barings Experience'38. Mervyn K
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Akman, Vedat, derleyen.
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Değil 2000: TÜRK MALİ PİYASALARINDA RİSK YÖNETİMİ Dünya Finansal Piyasaları ile Entegrasyon ve Vadeli
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risk to security interests, devising appropriate means of harnessing and responding to technological
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Sinn, Hans-Werner. author
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guarantee and risk consolidation -- Risk financing, rating advantages and refinancing costs -- Inadequate
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