4 sonuç bulundu Arama sonuçlarına abone ol
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by 
Jamilov, Rustam, edited by.
Format: 
Alıntı: 
macroeconomic risks on credit risk in the Serbian banks loan portfolio / Dragisa Otasevic -- Does regulatory
by 
Zhang, Zhaoyong, editor.
Format: 
Alıntı: 
Mechanisms and Opportunistic Behaviors towards Earnings Management -- Chapter 14: Can Market Orientation
by 
Roche, Cullen.
Format: 
Alıntı: 
global macro portfolio management, quantitative risk management, behavioral finance, and monetary theory
by 
Lehmann, Fabrice., editor.
Format: 
Alıntı: 
? Who should?; 49. Responsible sourcing; 50. Trade, international capital flows and risk management; 51