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Книга
Тайр, М.
23 привычки эффективных инвесторов от Уоррена Баффета и Джоржда Сороса
Попурри, 2008 г.
ISBN 978-985-15-0310-6
Тайр, М.
23 привычки эффективных инвесторов от Уоррена Баффета и Джоржда Сороса
Попурри, 2008 г.
ISBN 978-985-15-0310-6
Книга
Felsenheimer, j.
Active credit portfolio management: a practical guide to credit risk management strategies
Wiley-VCH, 2006 г.
ISBN 3-527-50198-3
Felsenheimer, j.
Active credit portfolio management: a practical guide to credit risk management strategies
Wiley-VCH, 2006 г.
ISBN 3-527-50198-3
Книга
Chan, E. P.
Algorithmic trading: winning strategies and their rationale
ISBN 978-1-11-846014-6
Chan, E. P.
Algorithmic trading: winning strategies and their rationale
Серия: Wiley trading series
John Wiley & Sons, 2013 г.ISBN 978-1-11-846014-6
Книга
Banks, E.
Alternative risk transfer: integrated risk management through insurance, reinsurance, and the capital markets
ISBN 0-470-85745-5
Banks, E.
Alternative risk transfer: integrated risk management through insurance, reinsurance, and the capital markets
Серия: Wiley finance series
John Wiley & Sons, 2005 г.ISBN 0-470-85745-5
Книга
Higgins, R. C.
Analysis for financial management
ISBN 978-0-256-13568-8
Higgins, R. C.
Analysis for financial management
Серия: The Irwin series in finance
Irwin, 1995 г.ISBN 978-0-256-13568-8
Книга
Chance, D. M.
Analysis of derivatives for the CFA program
Association for investment management and research, 2003 г.
ISBN 9780935015935
Chance, D. M.
Analysis of derivatives for the CFA program
Association for investment management and research, 2003 г.
ISBN 9780935015935
Книга
Loistl, O.
Asset management standards: corporate governance for asset management
ISBN 1-403-90449-9
Loistl, O.
Asset management standards: corporate governance for asset management
Серия: Finance and capital markets
Palgrave Macmillan, 2003 г.ISBN 1-403-90449-9
Книга
Ineichen, A. M.
Asymmetric returns: the future of active asset management
ISBN 978-0-470-04266-3
Ineichen, A. M.
Asymmetric returns: the future of active asset management
Серия: Wiley finance series
John Wiley & Sons, 2007 г.ISBN 978-0-470-04266-3
Книга
Loader, D.
Clearing, settlement and custody
Butterworth-Heinemann, The Securities Institute, 2002 г.
ISBN 0-7506-5484-8
Loader, D.
Clearing, settlement and custody
Butterworth-Heinemann, The Securities Institute, 2002 г.
ISBN 0-7506-5484-8
Книга
Loader, D.
Controls, procedures and risk
Butterworth-Heinemann, The Securities Institute, 2002 г.
ISBN 0-7506-5486-4
Loader, D.
Controls, procedures and risk
Butterworth-Heinemann, The Securities Institute, 2002 г.
ISBN 0-7506-5486-4
Книга
Schonbucher, P. J.
Credit derivatives pricing models: models, pricing and implementation
ISBN 0-470-84291-1
Schonbucher, P. J.
Credit derivatives pricing models: models, pricing and implementation
Серия: Wiley finance series
John Wiley & Sons, 2003 г.ISBN 0-470-84291-1
Книга
Dubofsky, D. A.
Derivatives: valuation and risk management
Oxford University Press, 2003 г.
ISBN 0-19-511470-1
Dubofsky, D. A.
Derivatives: valuation and risk management
Oxford University Press, 2003 г.
ISBN 0-19-511470-1
Книга
Srivastava, R.
Derivatives and risk management
Oxford University Press, 2014 г.
ISBN 978-0-19-808915-5
Srivastava, R.
Derivatives and risk management
Oxford University Press, 2014 г.
ISBN 978-0-19-808915-5
Книга
Bellalah, M.
Derivatives, risk management & value
World Scientific, 2010 г.
ISBN 978-981-283-862-9
Bellalah, M.
Derivatives, risk management & value
World Scientific, 2010 г.
ISBN 978-981-283-862-9
Электронные книги
Bing, G.
Due diligence: planning, questions, issues
Praeger, 2008 г.
ISBN 9780313345418
Bing, G.
Due diligence: planning, questions, issues
Praeger, 2008 г.
ISBN 9780313345418
Книга
Stimes, P. C.
Equity valuation, risk, and investment: a practitioner's roadmap
ISBN 978-0-470-22640-7
Stimes, P. C.
Equity valuation, risk, and investment: a practitioner's roadmap
Серия: Wiley finance series
John Wiley & Sons, 2008 г.ISBN 978-0-470-22640-7
Книга
Sabal, J.
Financial decisions in emerging markets
Oxford University Press, 2002 г.
ISBN 0-19-514459-7
Sabal, J.
Financial decisions in emerging markets
Oxford University Press, 2002 г.
ISBN 0-19-514459-7
Книга
Cuthbertson, K.
Financial engineering: derivatives and risk management
John Wiley & Sons, 2004 г.
ISBN 0-471-49584-0
Cuthbertson, K.
Financial engineering: derivatives and risk management
John Wiley & Sons, 2004 г.
ISBN 0-471-49584-0
Книга
Colin, A.
Fixed income attribution
ISBN отсутствует
Colin, A.
Fixed income attribution
Серия: Wiley finance series
John Wiley & Sons, 2005 г.ISBN отсутствует
Книга
Fabozzi, F. J.
Fixed income mathematics: analytical and statistical techniques
McGraw-Hill, 2006 г.
ISBN 0-07-146073-X
Fabozzi, F. J.
Fixed income mathematics: analytical and statistical techniques
McGraw-Hill, 2006 г.
ISBN 0-07-146073-X
Книга
Choudhry, M.
Fixed-income securities and derivatives handbook: analysis and valuation
Bloomberg Press, 2005 г.
ISBN 1-576-60164-1
Choudhry, M.
Fixed-income securities and derivatives handbook: analysis and valuation
Bloomberg Press, 2005 г.
ISBN 1-576-60164-1
Книга
Strachman, D.
Fund of funds investing: a roadmap to portfolio diversification
ISBN 978-0-470-25876-7
Strachman, D.
Fund of funds investing: a roadmap to portfolio diversification
Серия: Wiley finance series
John Wiley & Sons, 2010 г.ISBN 978-0-470-25876-7
Книга
Hull, J. C.
Fundamentals of futures and options markets
ISBN 0-13-127394-9
Hull, J. C.
Fundamentals of futures and options markets
Серия: Prentice Hall finance series
Pearson Education, 2005 г.ISBN 0-13-127394-9
Книга
Anson, M.J.P.
Handbook of alternative assets
John Wiley & Sons, John Wiley & Sons, 2002 г.
ISBN 0-471-21826-X
Anson, M.J.P.
Handbook of alternative assets
John Wiley & Sons, John Wiley & Sons, 2002 г.
ISBN 0-471-21826-X
Книга
Scharfman, J.
Hedge fund compliance: risks, regulation, and management
ISBN 9781119240235
Scharfman, J.
Hedge fund compliance: risks, regulation, and management
Серия: Wiley finance series
John Wiley & Sons, 2017 г.ISBN 9781119240235
Книга
McCrary, S. A.
Hedge fund course
ISBN 0-471-67158-4
McCrary, S. A.
Hedge fund course
Серия: Wiley finance series
John Wiley & Sons, 2005 г.ISBN 0-471-67158-4
Книга
Lo, A. W.
Hedge funds: an analytic perspective
Princeton University Press, 2010 г.
ISBN 978-0-691-14598-3
Lo, A. W.
Hedge funds: an analytic perspective
Princeton University Press, 2010 г.
ISBN 978-0-691-14598-3
Книга
Lo, A. W.
Hedge funds: an analytical perspective
Princeton University Press, 2008 г.
ISBN 978-0-691-13294-5
Lo, A. W.
Hedge funds: an analytical perspective
Princeton University Press, 2008 г.
ISBN 978-0-691-13294-5
Книга
Gregoriou, G. N.
Hedge funds: insights in performance measurement, risk analysis, and portfolio allocation
ISBN 0-471-73743-7
Gregoriou, G. N.
Hedge funds: insights in performance measurement, risk analysis, and portfolio allocation
Серия: Wiley finance series
John Wiley & Sons, 2005 г.ISBN 0-471-73743-7
Книга
International business risk: a handbook for the Asia-Pacific region
Cambridge University Press, 2003 г.
ISBN 0-521-82194-0
International business risk: a handbook for the Asia-Pacific region
Cambridge University Press, 2003 г.
ISBN 0-521-82194-0
Книга
Solnik, B.
International investments
Addison-Wesley Publishing Company, 1996 г.
ISBN 0-201-56707-5
Solnik, B.
International investments
Addison-Wesley Publishing Company, 1996 г.
ISBN 0-201-56707-5
Книга
International political risk management: looking to the future
The World Bank, 2005 г.
ISBN 0-8213-6154-6
International political risk management: looking to the future
The World Bank, 2005 г.
ISBN 0-8213-6154-6
Книга
Damodaran, A.
Investment philosophies: successful strategies and the investors who made them work
ISBN 0-471-34503-2
Damodaran, A.
Investment philosophies: successful strategies and the investors who made them work
Серия: Wiley finance series
John Wiley & Sons, 2003 г.ISBN 0-471-34503-2
Книга
Corcoran, C. M.
Long/short market dynamics: trading strategies for today's markets
ISBN 978-0-470-05728-5
Corcoran, C. M.
Long/short market dynamics: trading strategies for today's markets
Серия: Wiley trading series
John Wiley & Sons, 2007 г.ISBN 978-0-470-05728-5
Книга
Managing downside risk in financial markets: theory, practice and implementation
ISBN 0-7506-4863-5
Managing downside risk in financial markets: theory, practice and implementation
Серия: Quantitative finance series
Butterworth-Heinemann, 2001 г.ISBN 0-7506-4863-5
Книга
Maginn, J. L.
Managing investment portfolios: a dynamic process
John Wiley & Sons, 2007 г.
ISBN 0-470-08014-0
Maginn, J. L.
Managing investment portfolios: a dynamic process
John Wiley & Sons, 2007 г.
ISBN 0-470-08014-0
Книга
Chorafas, D. N.
Managing operational risk: risk reduction strategies for investment and commercial banks
Euromoney, 2001 г.
ISBN 1-85564-891-1
Chorafas, D. N.
Managing operational risk: risk reduction strategies for investment and commercial banks
Euromoney, 2001 г.
ISBN 1-85564-891-1
Книга
Logue, D.E.
Managing pension plans: a comprehensive guide to improving plan performance
Harvard Business School Press, 1998 г.
ISBN 0-87584-791-9
Logue, D.E.
Managing pension plans: a comprehensive guide to improving plan performance
Harvard Business School Press, 1998 г.
ISBN 0-87584-791-9
Книга
Brink, C. H.
Measuring political risk: risks to foreign investment
Ashgate, 2004 г.
ISBN 0-7546-4229-1
Brink, C. H.
Measuring political risk: risks to foreign investment
Ashgate, 2004 г.
ISBN 0-7546-4229-1
Книга
Weissman, R. L.
Mechanical trading systems: pairing trader psychology with technical analysis
ISBN 0-471-65435-3
Weissman, R. L.
Mechanical trading systems: pairing trader psychology with technical analysis
Серия: Wiley trading series
John Wiley & Sons, 2005 г.ISBN 0-471-65435-3
Книга
Microfinance investment funds: leveraging private capital for economic growth and poverty reduction
Springer, 2006 г.
ISBN 3-540-28070-7
Microfinance investment funds: leveraging private capital for economic growth and poverty reduction
Springer, 2006 г.
ISBN 3-540-28070-7
Книга
Haslem, J.A.
Mutual funds: risk and performance analysis for decision making
Blackwell, 2003 г.
ISBN 0-631-21561-1
Haslem, J.A.
Mutual funds: risk and performance analysis for decision making
Blackwell, 2003 г.
ISBN 0-631-21561-1
Книга
Performance measurement in finance: firms, funds and managers
Butterworth-Heinemann, Butterworth-Heinemann, 2002 г.
ISBN 0-7506-5026-5
Performance measurement in finance: firms, funds and managers
Butterworth-Heinemann, Butterworth-Heinemann, 2002 г.
ISBN 0-7506-5026-5
Книга
Kodukula, P.
Project valuation using real options: a practitioner's guide
J.Ross Publishing, 2006 г.
ISBN 1-932159-43-6
Kodukula, P.
Project valuation using real options: a practitioner's guide
J.Ross Publishing, 2006 г.
ISBN 1-932159-43-6
Книга
Rasmussen, M.
Quantitative portfolio optimisation, asset allocation and risk management
ISBN 1-403-90458-8
Rasmussen, M.
Quantitative portfolio optimisation, asset allocation and risk management
Серия: Finance and capital markets
Palgrave Macmillan, 2003 г.ISBN 1-403-90458-8