by
Çitilci, Tuğberk.
Format:
Alıntı:
Kavramı -- 1.2. Risk ve Belirsizlik Kavramları -- 1.3, Neo Klasik İktisat ve Fayda Kavramı -- 1.4
by
Blanchard, Olivier (Olivier J.), editor.
Format:
Alıntı:
Summers -- Systemic risk and financial regulation -- A note from the session on systemic risk and
by
Kang, Tong-su, editor.
Format:
Alıntı:
Financial risk management.
by
El-Erian, Mohamed A., 1958- author.
Format:
Alıntı:
' communication challenge -- How and why this book is organized -- Context: the rise, collapse, and resurrection
by
Han, Miao, 1982- author
Format:
Alıntı:
explanatory variables for this behavior, addressing the mismatch of similar risk management solutions and
by
Bakır, Caner. yazar
Format:
Alıntı:
bankalarından bazıları neden aşırı risk aldı? Kriz Bankacılığı, Türkiye başta olmak üzere pek çok ülkenin
by
Roche, Cullen.
Format:
Alıntı:
global macro portfolio management, quantitative risk management, behavioral finance, and monetary theory
by
Haber, Stephen H., 1957-, edited by.
Format:
Alıntı:
Gourevitch and James Shinn -- Credible commitment and sovereign default risk: two bond markets and imperial
by
Friedman, Milton, 1912-2006 author
Table of contents only http://www.loc.gov/catdir/toc/ecip0724/2007031094.html
Publisher description http://www.loc.gov/catdir/enhancements/fy0809/2007031094-d.html
Contributor biographical information http://www.loc.gov/catdir/enhancements/fy0827/2007031094-b.html
Publisher description http://www.loc.gov/catdir/enhancements/fy0809/2007031094-d.html
Contributor biographical information http://www.loc.gov/catdir/enhancements/fy0827/2007031094-b.html
Format:
Alıntı:
involving risk / Milton Friedman and L.J. Savage -- The expected-utility hypothesis and the measurability of
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