Resultats de la cerca

  1. 1

    Portfolio Management with Heuristic Optimization per Maringer, Dietmar

    Publicat 2005
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  2. 2

    Foreign-Exchange-Rate Forecasting With Artificial Neural Networks per Yu, Lean

    Publicat 2007
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  3. 3

    Handbook of Quantitative Finance and Risk Management per Lee, Cheng-Few

    Publicat 2010
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  4. 4

    Applied Econometrics with R per Kleiber, Christian

    Publicat 2008
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  5. 5

    Handbook of Portfolio Construction per Guerard, John B.

    Publicat 2010
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  6. 6

    Scenario Logic and Probabilistic Management of Risk in Business and Engineering per Solojentsev, Evgueni D.

    Publicat 2009
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  7. 7

    Complex Systems in Finance and Econometrics per Meyers, Robert A.

    Publicat 2011
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  8. 8

    Strategic Trading in Illiquid Markets per Mnch, Burkart

    Publicat 2005
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  9. 9

    Risk Management Challenge and Opportunity / per Frenkel, Michael

    Publicat 2005
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  10. 10

    Empirical Techniques in Finance per Bhar, Ramaprasad

    Publicat 2005
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  11. 11

    Term Structure Modeling and Estimation in a State Space Framework per Lemke, Wolfgang

    Publicat 2006
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  12. 12
  13. 13

    The Economics of Foreign Exchange and Global Finance per Wang, Peijie

    Publicat 2005
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  14. 14
  15. 15

    Market-Conform Valuation of Options per Herwig, Tobias

    Publicat 2006
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  16. 16

    The Basel II Risk Parameters Estimation, Validation, and Stress Testing / per Engelmann, Bernd

    Publicat 2006
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  17. 17
  18. 18

    Financial Economics A Concise Introduction to Classical and Behavioral Finance / per Hens, Thorsten

    Publicat 2010
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  19. 19

    Optimisation, Econometric and Financial Analysis per Kontoghiorghes, Erricos John

    Publicat 2007
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  20. 20

    Sovereign Default Risk Valuation Implications of Debt Crises and Bond Restructurings / per Andritzky, Jochen

    Publicat 2006
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