Showing 21 - 36 results of 36 for search '', query time: 0.02s Refine Results
  1. 21

    Modern Actuarial Risk Theory Using R / by Kaas, Rob

    Published 2008
    Get full text
    Electronic eBook
  2. 22

    Bond Portfolio Optimization by Puhle, Michael

    Published 2008
    Get full text
    Electronic eBook
  3. 23

    Pricing Interest-Rate Derivatives A Fourier-Transform Based Approach / by Bouziane, Markus

    Published 2008
    Get full text
    Electronic eBook
  4. 24
  5. 25

    Portfolios of Real Options by Brosch, Rainer

    Published 2008
    Get full text
    Electronic eBook
  6. 26
  7. 27

    Pricing of Derivatives on Mean-Reverting Assets by Lutz, Bjrn

    Published 2010
    Get full text
    Electronic eBook
  8. 28
  9. 29
  10. 30

    Pricing and Risk Management of Synthetic CDOs by Schlsser, Anna

    Published 2011
    Get full text
    Electronic eBook
  11. 31

    The Market Approach to Comparable Company Valuation by Meitner, Matthias

    Published 2006
    Get full text
    Electronic eBook
  12. 32

    High Frequency Financial Econometrics Recent Developments / by Bauwens, Luc

    Published 2008
    Get full text
    Electronic eBook
  13. 33

    Risk Assessment Decisions in Banking and Finance / by Bol, Georg

    Published 2008
    Get full text
    Electronic eBook
  14. 34

    Valuation of Network Effects in Software Markets A Complex Networks Approach / by Kemper, Andreas

    Published 2010
    Get full text
    Electronic eBook
  15. 35

    Risk Management in Credit Portfolios Concentration Risk and Basel II / by Hibbeln, Martin

    Published 2010
    Get full text
    Electronic eBook
  16. 36

    Misurare e gestire il rischio finanziario by Menoncin, Francesco

    Published 2009
    Get full text
    Electronic eBook