by
Simpson, John L., 1948-, editor.
Format:
Alıntı:
in Energy (2011), Energy Economics and Financial Markets (2012) and Perspectives on Energy Risk (2014)
by
Glantz, Morton. author
Format:
Alıntı:
Multi-asset risk modeling : techniques for a global economy in an electronic and algorithmic
by
Markowitz, H. (Harry), 1927-
Format:
Alıntı:
Daiwa Securities. Investment rules, margin and market volatility. Risk adjustment. Normative portfolio
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