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by 
Stanyer, Peter, 1956- author
Format: 
Alıntı: 
Guide to investment strategy : how to understand markets, risk, rewards and behaviour / Stanyer
by 
Sarlin, Peter, author.
Format: 
Alıntı: 
Computational Risk Management,
by 
Mattord, Herbert J., author.
Format: 
Alıntı: 
Security Executive Council risk management portfolio.
by 
Debreu, Gerard., editor.
Format: 
Alıntı: 
Economics – 3. The Role of Securities in the Optimal Allocation of Risk-bearing – 4. Existence of an
by 
Stiglitz, Joseph E.. author
Format: 
Alıntı: 
MORAL HAZARD AND INSURANCE ; Introduction ; 26. Risk, Incentives and Insurance: The Pure Theory of Moral
by 
Plott, Charles R., editor.
Format: 
Alıntı: 
. Walker -- Ch. 113. Men, women and risk aversion : experimental evidence / Cahterine C. Eckel and Philip J
by 
Organisation for Economic Co-operation and Development (OECD). author
Format: 
Alıntı: 
relatively long lived and planning for the long term has to account for the risks entailed by these dynamics
by 
Cartwright, Edward., author.
Format: 
Alıntı: 
-- 2. Simple heuristics for complex choices -- 3. Choice with risk -- 4. Choosing when to act -- 5
by 
Baklanova, Viktoria, author.
Format: 
Alıntı: 
market funds outside the EU and the US / Viktoria Baklanova and Joseph Tanega -- Systemic risk regulation
by 
Jones, Donald W.
Format: 
Alıntı: 
and Household Production3.13 Risk, Risk Aversion, and Expected Utility; 3.14 Irrational Behavior; 3.15
by 
Alim, Emmy Abdul, author.
Format: 
Alıntı: 
development, rise, and future trajectory of Islamic finance. Features rare insider perspective on the rise of
by 
LeRoy, Stephen F. author
Format: 
Alıntı: 
Utility; 9 Risk Aversion; 10 Risk; 11 Optimal Portfolios with One Risky Security; 12 Comparative Statics