Frank J. Fabozzi

23 кн.
The Theory and Practice of Investment Management. Asset Allocation, Valuation, Portfolio Construction, and Strategies
The Theory and Practice of Investme...
The Theory and Practice of Investment Management
The Theory and Practice of Investme...
The Handbook of Municipal Bonds
The Handbook of Municipal Bonds
The Complete CFO Handbook
The Complete CFO Handbook
Short Selling. Strategies, Risks, and Rewards
Short Selling. Strategies, Risks, a...
Securities Finance. Securities Lending and Repurchase Agreements
Securities Finance. Securities Lend...
Quantitative Equity Investing. Techniques and Strategies
Quantitative Equity Investing. Tech...
Portfolio Construction and Analytics
Portfolio Construction and Analytic...
Mortgage-Backed Securities. Products, Structuring, and Analytical Techniques
Mortgage-Backed Securities. Product...
Mathematical Methods for Finance
Mathematical Methods for Finance
Managing a Corporate Bond Portfolio
Managing a Corporate Bond Portfolio
Investing in Mortgage-Backed and Asset-Backed Securities. Financial Modeling with R and Open Source Analytics
Investing in Mortgage-Backed and As...
Introduction to Fixed Income Analytics. Relative Value Analysis, Risk Measures and Valuation
Introduction to Fixed Income Analyt...
Foundations and Applications of the Time Value of Money
Foundations and Applications of the...
Fixed Income Securities
Fixed Income Securities
Financial Models with Levy Processes and Volatility Clustering
Financial Models with Levy Processe...
Finance. Capital Markets, Financial Management, and Investment Management
Finance. Capital Markets, Financial...
Equity Valuation and Portfolio Management
Equity Valuation and Portfolio Mana...
Encyclopedia of Financial Models
Encyclopedia of Financial Models
Collateralized Debt Obligations. Structures and Analysis
Collateralized Debt Obligations. St...
Capital Budgeting. Theory and Practice
Capital Budgeting. Theory and Pract...
Analysis of Financial Statements
Analysis of Financial Statements
A Probability Metrics Approach to Financial Risk Measures
A Probability Metrics Approach to F...
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