Отложенные
Корзина
Войти
Мои книги
Реклама
Financial Modelling. Theory, Implementation and Practice with MATLAB Source
An Introduction to Value-at-Risk
The Art of Credit Derivatives. Demystifying the Black Swan
The End of Finance
Operational Risk Assessment. The Commercial Imperative of a more Forensic and Transparent Approach
The Future of Finance. How Private Equity and Venture Capital Will Shape the Global Economy
Extreme Money. The Masters of the Universe and the Cult of Risk
Credit Derivatives. Application, Pricing, and Risk Management
Aiki Trading. Trading in Harmony with the Markets
FX Options and Smile Risk
Swaps and Other Derivatives
Counterparty Credit Risk. The new challenge for global financial markets
The Risk Controllers. Central Counterparty Clearing in Globalised Financial Markets
Harmonic Elliott Wave. The Case for Modification of R. N. Elliott's Impulsive Wave Structure
Handbook of Anti-Money Laundering
Frequently Asked Questions on Anti-Bribery and Corruption
Models. Behaving. Badly. Why Confusing Illusion with Reality Can Lead to Disaster, on Wall Street and in Life
The Mathematics of Derivatives Securities with Applications in MATLAB
Principles of Quantitative Development
Coherent Stress Testing. A Bayesian Approach to the Analysis of Financial Stress
Simple Tools and Techniques for Enterprise Risk Management
The Handbook for Investment Committee Members. How to Make Prudent Investments for Your Organization
Bailout. What the Rescue of Bear Stearns and the Credit Crisis Mean for Your Investments
Skin in the Game. How Putting Yourself First Today Will Revolutionize Health Care Tomorrow