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1. Risk management by Golub, Bennett W. Publication: New York Wiley 2000 . xxiii, 312 páginas 24 cm. Date: 2000 Availability: Items available: Biblioteca Central [332.63 / G629r] (1),
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2. Options theory and trading by Ianieri, Ron Publication: Hoboken, N.J. Wiley 2009 . xv, 352 p.áginas , Series statement from jacket. | Incluye índice 24 cm. Date: 2009 Availability: Items available: Biblioteca Central [332.6322 / IA11o] (1),
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3. Risk and asset allocation by Meucci, Attilio. Publication: Berlin | New York Springer 2005 . xxvi, 532 páginas 24 cm. Date: 2005 Availability: Items available: Biblioteca Central [332.63228 / M597r] (1),
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4. Portfolio construction and risk budgeting by Scherer, Bernd Publication: London Risk Books 2007 . xv, 318 páginas 24 cm. Date: 2007 Availability: Items available: Biblioteca Central [332.632 / SC326p ] (1),
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5. Modern investment management by Litterman, Robert B. Publication: Hoboken, N.J. John Wiley 2003 . xviii, 626 páginas , Publicado simultaneamente en Canadá. 26 cm. Date: 2003 Availability: Items available: Biblioteca Central [332.6 / L777m] (1),
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