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30 Datensätze gefundenDie Anfrage war Schlagwort:("Risk management")
Datensätze 1 bis 10
1
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# Ausw.
Organisation / Sammlung
Objekttyp
Bibliographische QuelleDigitales Objekt
1. IHS
Text
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McNeil, Alexander J.; Frey, Rüdiger; Embrechts, Paul.
Quantitative Risk Management:Concepts, Techniques and Tools
1. Ed.,Princeton Series in Finance, Duffie, Darrell (Ed.) ; Schaefer, Stephen (Ed.). Princeton, New Jersey, Oxford, Princeton University Press, Duffie, Darrell (Ed.) ; Schaefer, Stephen (Ed.); 2005. xv, 538 pp..
2. IHS
Text
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Johnson, Omotunde E.G. (Ed.).
Financial Risks, Stability, and Globalization
1. Ed., The Eigth Central Banking Seminar ; IMF Institute and Monetary and Exchange Affairs Department, International Monetary Fund (Sp.).Washington, D.C., IMF Institute and Monetary and Exchange Affairs Department, International Monetary Fund; 2002. xiii, 556 pp..
3. IHS
Text
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Jorion, Philippe.
Value at Risk:The New Benchmark for Managing Financial Risk
3. Ed..New York, San Francisco, Washington, D.C., McGraw-Hill; 2007. xvii, 602 pp..
Jorion, Philippe, Value at Risk (Google Book Search, Limited preview)
4. IHS
Text
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Gollier, Christian.
The Economics of Risk and Time
1. Ed..Cambridge, Massachusetts, London, The MIT Press; 2001. xx, 445 pp..
5. IHS
Text
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De Masi, G.; Gallegati, M..
Bank-firms topology in Italy
Empirical Economics, A Journal of the Institute for Advanced Studies, Vienna, Austria. 43.2012, issue 2, 851 - 866.
De Masi, G. - et al., Bank-firms topology in Italy (pdf)
6. IHS
Text
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Tsay, Ruey S..
Analysis of Financial Time Series
2. Ed.,Wiley Series in Probability and Statistics, Balding, David J. (Ed.) ; Cressie, Noel A.C. (Ed.) ; Fisher, Nicholas I. (Ed.) ; et al.. Hoboken, New Jersey, John Wiley and Sons, Inc., Wiley-Interscience, Balding, David J. (Ed.) ; Cressie, Noel A.C. (Ed.) ; Fisher, Nicholas I. (Ed.) ; et al.; 2005. xxi, 605 pp..
Tsay, Ruey S., Analysis of Financial Time Series (Google Book Search, Limited Preview)
7. IHS
Text
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Tsay, Ruey S..
Analysis of Financial Time Series
3. Ed.,Wiley Series in Probability and Statistics, Balding, David J. (Ed.) ; Cressie, Noel A.C. (Ed.) ; Fitzmaurice, Garrett M. (Ed.). Hoboken, New Jersey, Wiley-Blackwell, Balding, David J. (Ed.) ; Cressie, Noel A.C. (Ed.) ; Fitzmaurice, Garrett M. (Ed.); 2010. xxiii, 677 pp..
Tsay, Ruey S., Analysis of Financial Time Series (Google Book Search, Limited preview)
8. IHS
Text
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Duffie, Darrell; Singleton, Kenneth J..
Credit Risk:Pricing, Measurement, and Management
1. Ed.,Princeton Series in Finance, Duffie, Darrell (Ed.) ; Schaefer, Stephen (Ed.). Princeton, Oxford, Princeton University Press, Duffie, Darrell (Ed.) ; Schaefer, Stephen (Ed.); 2003. xvi, 396 pp..
9. IHS
Text
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Lando, David.
Credit Risk Modeling:Theory and Applications
1. Ed.,Princeton Series in Finance, Duffie, Darrell (Ed.) ; Schaefer, Stephen (Ed.). Princeton, Oxford, Princeton University Press, Duffie, Darrell (Ed.) ; Schaefer, Stephen (Ed.); 2004. xvi, 310 pp..
10. IHS
Text
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Singpurwalla, Nozer D..
Reliability and Risk:A Bayesian Perspective
1. Ed.,Wiley Series in Probability and Statistics, Balding, David J. (Ed.) ; Bloomfield, Peter (Ed.) ; Cressie, Noel A.C. (Ed.) ; et al.. Chichester, Hoboken, NJ, San Francisco, CA, John Wiley and Sons, Balding, David J. (Ed.) ; Bloomfield, Peter (Ed.) ; Cressie, Noel A.C. (Ed.) ; et al.; 2006. xiv, 371 pp..
30 Datensätze gefundenDie Anfrage war Schlagwort:("Risk management")
Datensätze 1 bis 10
1
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