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Ngā kaupapa kua whakahuatia i roto i tō rapu.
Ngā kaupapa kua whakahuatia i roto i tō rapu.
- Quantitative Finance
- Finance 55
- Economics 53
- Economics/Management Science 53
- Banks and banking 41
- Finance /Banking 40
- Financial Economics 26
- Econometrics 13
- Mathematics 9
- Statistics 9
- Statistics for Business/Economics/Mathematical Finance/Insurance 9
- Economics, Mathematical 7
- Operations Research/Decision Theory 6
- Finance/Investment/Banking 5
- Computer science 4
- Economic Theory 4
- Game Theory/Mathematical Methods 4
- Probability Theory and Stochastic Processes 4
- Applications of Mathematics 3
- Computing Methodologies 3
- Distribution (Probability theory) 3
- Economics/Management Science, general 3
- Electronic data processing 3
- Game Theory, Economics, Social and Behav. Sciences 3
- Macroeconomics 3
- Macroeconomics/Monetary Economics 3
- Mathematical optimization 3
- Optimization 3
- Statistical Physics, Dynamical Systems and Complexity 3
- Artificial Intelligence (incl. Robotics) 2
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1
Portfolio Management with Heuristic Optimization
I whakaputaina 2005Whiwhi kuputuhi katoa
Tāhiko īPukapuka -
2
Foreign-Exchange-Rate Forecasting With Artificial Neural Networks
I whakaputaina 2007Whiwhi kuputuhi katoa
Tāhiko īPukapuka -
3
Handbook of Quantitative Finance and Risk Management
I whakaputaina 2010Whiwhi kuputuhi katoa
Tāhiko īPukapuka -
4
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5
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6
Scenario Logic and Probabilistic Management of Risk in Business and Engineering
I whakaputaina 2009Whiwhi kuputuhi katoa
Tāhiko īPukapuka -
7
Complex Systems in Finance and Econometrics
I whakaputaina 2011Whiwhi kuputuhi katoa
Tāhiko īPukapuka -
8
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9
Risk Management Challenge and Opportunity /
I whakaputaina 2005Whiwhi kuputuhi katoa
Tāhiko īPukapuka -
10
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11
Term Structure Modeling and Estimation in a State Space Framework
I whakaputaina 2006Whiwhi kuputuhi katoa
Tāhiko īPukapuka -
12
Real Options Valuation The Importance of Interest Rate Modelling in Theory and Practice /
I whakaputaina 2005Whiwhi kuputuhi katoa
Tāhiko īPukapuka -
13
The Economics of Foreign Exchange and Global Finance
I whakaputaina 2005Whiwhi kuputuhi katoa
Tāhiko īPukapuka -
14
A Structural Framework for the Pricing of Corporate Securities Economic and Empirical Issues /
I whakaputaina 2006Whiwhi kuputuhi katoa
Tāhiko īPukapuka -
15
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16
The Basel II Risk Parameters Estimation, Validation, and Stress Testing /
I whakaputaina 2006Whiwhi kuputuhi katoa
Tāhiko īPukapuka -
17
Optimal Risk-Return Trade-Offs of Commercial Banks and the Suitability of Profitability Measures for Loan Portfolios /
I whakaputaina 2006Whiwhi kuputuhi katoa
Tāhiko īPukapuka -
18
Financial Economics A Concise Introduction to Classical and Behavioral Finance /
I whakaputaina 2010Whiwhi kuputuhi katoa
Tāhiko īPukapuka -
19
Optimisation, Econometric and Financial Analysis
I whakaputaina 2007Whiwhi kuputuhi katoa
Tāhiko īPukapuka -
20
Sovereign Default Risk Valuation Implications of Debt Crises and Bond Restructurings /
I whakaputaina 2006Whiwhi kuputuhi katoa
Tāhiko īPukapuka