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by 
Szylar, Christian. author
Format: 
Alıntı: 
a Portfolio and Its Impact on Portfolio Risk 66 4.3.3 The Effect of Diversification on Risk 68 4.4
by 
Ong, Li Lian, editor.
Format: 
Alıntı: 
ANALYSIS APPROACH; 13. Introduction to the Network Analysis Approach to Stress Testing. 14. Cross
by 
Dinçer, Hasan, 1982-, editor.
Format: 
Alıntı: 
financial risks and the nature of common stocks -- A market analysis approach to portfolio theories
by 
Bodie, Zvi, author
Format: 
Alıntı: 
Portfolio management.
by 
Wasik, John F.. author
Format: 
Alıntı: 
Portfolio management.
by 
Stanyer, Peter, 1956- author
Format: 
Alıntı: 
Portfolio management.
by 
Du, Wenjiang editor
Format: 
Alıntı: 
Analysis Based on the VB and ANSYS -- Risk Early Warning System Preventing Natural Disaster in Yunnan Power
by 
Atiyas, Izak. author
Format: 
Alıntı: 
, renewable and nuclear energy), the impact of these reforms on country's energy portfolio and role in global
by 
Doumpos, Michael, editor.
Format: 
Alıntı: 
, including algorithmic trading, financial time-series analysis, asset pricing, portfolio management, auction
by 
Managi, Shunsuke., editor.
Format: 
Alıntı: 
/ Keisaku Higashida, Kenta Tanaka, and Shunsuke Managi -- Project portfolio analysis on the global ecosystem
by 
Chadha, Jagjit., editor.
Format: 
Alıntı: 
Miller and John Driffill; 5. Asset purchase policies and portfolio effects: a DSGE analysis Richard
by 
Dymowa, Ludmila. author
Format: 
Alıntı: 
-commerce development, portfolio selection, Black-Scholes option pricing models, corporate acquisition systems