Value at Risk and Bank Capital Management: Risk Adjusted Performances, Capital Management and Capital Allocation Decision Making (Academic Press Advanced Finance Series)
by Francesco Saita
ISBN 13: 9780123694669
Format: Hardcover (280 pages) Publisher: Academic Press Published: 03 Apr 2007
Save for later
Financial Boom and Gloom: The Credit and Banking Crisis of 2007-2009 and Beyond (Palgrave Macmillan Studies in Banking and Financial Institutions)
by Chorafas
ISBN 13: 9780230578111
Format: Hardcover (240 pages) Publisher: Palgrave Macmillan Published: 26 Mar 2009
Reforming the World Bank: Twenty Years of Trial - and Error
by David A. Phillips
ISBN 13: 9780521883054
Format: Hardcover (342 pages) Publisher: Cambridge University Press Published: 30 Mar 2009
The Squam Lake Report: Fixing the Financial System
by N/A
ISBN 13: 9780691148847
Format: Hardcover (168 pages) Publisher: Princeton University Press Published: 14 Jun 2010
Unsettled Account: The Evolution of Banking in the Industrialized World since 1800 (Princeton Economic History of the Western World)
ISBN 13: 9780691139050
Format: Hardcover (400 pages) Publisher: Princeton University Press Published: 27 Jun 2010
Learning by Example: Imitation and Innovation at a Global Bank
ISBN 13: 9780691142180
Format: Hardcover (304 pages) Publisher: Princeton University Press Published: 21 Jul 2010
WHEN PRIME BROKERS FAIL: The Unheeded Risk to Hedge Funds, Banks, and the Financial Industry: 92 (Bloomberg)
by J. S. Aikman
ISBN 13: 9781576603550
Format: Hardcover (208 pages) Publisher: Kogan Page Published: 01 May 2010
Resourcing Small and Medium Sized Enterprises: A Financial Growth Life Cycle Approach (Contributions to Management Science)
ISBN 13: 9783790823981
Format: Hardcover (210 pages) Publisher: Physica-Verlag HD Published: 26 Mar 2010
21st Century Keynesian Economics (International Papers in Political Economy)
ISBN 13: 9780230236011
Format: Hardcover (256 pages) Publisher: Palgrave Macmillan Published: 18 Jun 2010
Slapped by the Invisible Hand: The Panic of 2007 (FMA SURVEY)
ISBN 13: 9780199734153
Format: Hardcover (240 pages) Publisher: OUP USA Published: 29 Apr 2010
Quantitative Portfolio Optimisation, Asset Allocation and Risk Management: A Practical Guide to Implementing Quantitative Investment Theory (Finance and Capital Markets Series)
by Mikkel Rasmussen
ISBN 13: 9781403904584
Format: Hardcover (400 pages) Publisher: Palgrave Macmillan Published: 13 Dec 2002
New Partnerships for Innovation in Microfinance
by Ingrid Matthäus-Maier,J. D. Pischke
ISBN 13: 9783540938989
Format: Paperback (404 pages) Publisher: Springer Published: 23 Mar 2009