by
Kang, Tong-su, editor.
Format:
Alıntı:
Financial risk management.
by
Han, Miao, 1982- author
Format:
Alıntı:
explanatory variables for this behavior, addressing the mismatch of similar risk management solutions and
by
Roche, Cullen.
Format:
Alıntı:
global macro portfolio management, quantitative risk management, behavioral finance, and monetary theory
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