by
Glantz, Morton. author
Format:
Alıntı:
Multi-asset risk modeling : techniques for a global economy in an electronic and algorithmic
by
Nations, Scott. author
Format:
Alıntı:
, directional moves, and risk reduction / Nations, Scott. author
by
Stanyer, Peter, 1956- author
Format:
Alıntı:
Guide to investment strategy : how to understand markets, risk, rewards and behaviour / Stanyer
by
Parness, Michael, author.
Format:
Alıntı:
-- Potential News 183-- Managing Risk 185-- Chapter 12: Trading Laggards 187-- What Is a Laggard? 187-- If It
by
Simpson, John L., 1948-, editor.
Format:
Alıntı:
in Energy (2011), Energy Economics and Financial Markets (2012) and Perspectives on Energy Risk (2014)
by
Pedersen, Lasse Heje. author
Format:
Alıntı:
markets -- Portfolio construction and risk management -- Trading and financing a strategy: Market and
by
Heins, John.
Format:
Alıntı:
; Guarding Against Risk ; Making the Sale -- Part Four : Of Sound Mind. Of Sound Mind.
by
Markowitz, H. (Harry), 1927-
Format:
Alıntı:
Daiwa Securities. Investment rules, margin and market volatility. Risk adjustment. Normative portfolio
by
Uçkun, Nurullah
Format:
Alıntı:
Planlara Uygunluğu Yatırımların Değerlendirilmesi Risk Analizi Uygulama ve Denetim Turkiye’deki Büyük
by
Karabıyık, Lale. yazar
Format:
Alıntı:
, ekonomik gelişmeleri takip etmek isteyen ve finansal piyasalar, yatırım araçları, portföy yönetimi, risk