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Намерени са 1812 резултата
ПС 1004
Каталог "Статии, стандарти, автореферати" | Списание
Credit-Risk Measurement and Management
The Ironic Challenge in the Next Decade (1998)
Edward Altman; John Caouette; Paul Narayanan
ПС 1004
Каталог "Статии, стандарти, автореферати" | Списание
Morningstar's Risk-Adjusted Ratings
(1998)
William Sharpe
ПВ 1540
Каталог "Статии, стандарти, автореферати" | Списание
Differences in Subjective Risk Thresholds
Worker Groups as an Example (1998)
Anil Gaba; Anil Caba; W. Viscusi
ПВ 1540
Каталог "Статии, стандарти, автореферати" | Списание
A Portfolio Approach to Risk Reduction in Discretely Rebalanced Option Hedges
(1998)
Antonio Mello; Henrik Neuhaus
ПС 960
Каталог "Статии, стандарти, автореферати" | Списание
Taking a calculated risk
(1998)
Ian Brindle
C 4837
Каталог "Книги" | Книга
Innovations and Risk Taking
The Engine of Reform in Local Government in Latin America and the Caribbean (1997)
Tim Campbell
C 4932
Каталог "Книги" | Книга
Dealing with Public Risk in Private Infrastructure
(1997)
Timothy Irwin
C 5637
Каталог "Книги" | Книга
Helping At-Risk Youth
Lessons from Community-Based Initiatives (1997)
Elaine Morley
ПВ 1540
Каталог "Статии, стандарти, автореферати" | Списание
Fairness and Social Risk II
Aggregated Analyses (1997)
Peter Fishburn; Rakesh Sarin
ПВ 1540
Каталог "Статии, стандарти, автореферати" | Списание
Nonlinearities in the Relation Between the Equity Risk Premium and the Term Structure
(1997)
Jacob Boudoukh; Matthew Richardson; Robert Whitelaw
ПВ 1540
Каталог "Статии, стандарти, автореферати" | Списание
An Empirical Study on Intertemporal Decision Making Under Risk
(1997)
Martin Ahlbrecht; Martin Weber
ПС 1004
Каталог "Статии, стандарти, автореферати" | Списание
Default Risk and the Effective Duration of Bonds
(1997)
David Babbel; Craig Merrill; William Panning
ПС 1004
Каталог "Статии, стандарти, автореферати" | Списание
Investment Risk
The Experts' Perspective (1997)
Robert Olsen
ПС 1004
Каталог "Статии, стандарти, автореферати" | Списание
The Performance, Risk, and Diversification of Sector Funds
(1997)
Ajay Khorana; Edward Nelling
ПВ 2007
Каталог "Статии, стандарти, автореферати" | Списание
Better Risk Management
A Key to Improved Performance (1997)
Bernhard Schwab; Helmut Schwab
ПС 1004
Каталог "Статии, стандарти, автореферати" | Списание
A Multidimensional Framework for Risk Analysis
(1997)
Gifford Fond; Oldrich Vasicek
ПВ 1540
Каталог "Статии, стандарти, автореферати" | Списание
Estimation Risk in Pertfolio Selection
The Mean Variance Model Versus the Mean Absolute Deviation Model (1997)
Yusit Simaan
C 4679
Каталог "Книги" | Книга
Management of Programme Risk
(1995)
B 61793
Каталог "Книги" | Книга
Managing Financial Risk
(1990)
Clifford Smith; Glifford Smith; Charles Smithson; D. Wilford
B 49348
Каталог "Книги" | Книга
Employment and divident policy of the firm under risk
(1981)
Pierre Dehez