Результаты поиска

  1. 1

    Managing risk and uncertainty a strategic approach по Friberg, Richard 1967-

    Опубликовано 2015
  2. 2

    Globalization and systemic risk

    Опубликовано 2009
  3. 3

    Corporate and project finance modeling theory and practice по Bodmer, E. (Edward)

    Опубликовано 2015
  4. 4
  5. 5

    Financial risk measurement and management

    Опубликовано 2012
  6. 6
  7. 7

    Market risk and financial markets modeling

    Опубликовано 2012
  8. 8

    Financial risk modelling and portfolio optimization with R по Pfaff, Bernhard

    Опубликовано 2013
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