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--> Инвестиции = Investment
----> управление портфельными инвестициями. Инвестиционный менеджмент = Portfolio managenemt. Investment management [330.322]
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--> Инвестиции = Investment
----> управление портфельными инвестициями. Инвестиционный менеджмент = Portfolio managenemt. Investment management [330.322]
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- Название:
- управление портфельными инвестициями. Инвестиционный менеджмент = Portfolio managenemt. Investment management [330.322]
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Связанные описания:

Книга
Коттл, С.
"Анализ ценных бумаг" Грэма и Додда: пер. с англ.
Олимп-Бизнес, 2000 г.
ISBN 5-901028-16-3
Коттл, С.
"Анализ ценных бумаг" Грэма и Додда: пер. с англ.
Олимп-Бизнес, 2000 г.
ISBN 5-901028-16-3
Статья
Копасова, С.
"Пенсионное будущее" российской молодежи : современный взгляд на проблему
б.г.
ISBN отсутствует
Копасова, С.
"Пенсионное будущее" российской молодежи : современный взгляд на проблему
б.г.
ISBN отсутствует
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
Platen, E.
A benchmark approach to quantitative finance
ISBN 3-540-26212-1
Platen, E.
A benchmark approach to quantitative finance
Серия: Springer finance
Springer-Verlag, 2006 г.ISBN 3-540-26212-1
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
Hagenstein, F.
Active fixed income and credit management
ISBN 0-333-99368-3
Hagenstein, F.
Active fixed income and credit management
Серия: Finance and capital markets
PALGRAVE, 2002 г.ISBN 0-333-99368-3
Книга
Grinold, R. C.
Active portfolio management: a quantitative approach for providing superior returns and controlling risk
McGraw-Hill, 2000 г.
ISBN 0-07-024882-6
Grinold, R. C.
Active portfolio management: a quantitative approach for providing superior returns and controlling risk
McGraw-Hill, 2000 г.
ISBN 0-07-024882-6
Книга
Dattatreya, R. E.
Active total return management of fixed-income portfolios
Irwin, 1995 г.
ISBN 1-557-38565-3
Dattatreya, R. E.
Active total return management of fixed-income portfolios
Irwin, 1995 г.
ISBN 1-557-38565-3
Книга
Goodall, T.
Adequate decision rules for portfolio choice problems
ISBN 0-333-99432-9
Goodall, T.
Adequate decision rules for portfolio choice problems
Серия: Finance and capital markets
PALGRAVE, 2002 г.ISBN 0-333-99432-9
Книга
Advanced bond portfolio management: best practices in modeling and strategies
John Wiley & Sons, John Wiley & Sons, 2006 г.
ISBN 0-471-67890-2
Advanced bond portfolio management: best practices in modeling and strategies
John Wiley & Sons, John Wiley & Sons, 2006 г.
ISBN 0-471-67890-2
Книга
Rachev, S. T.
Advanced stochastic models, risk assessment, and portfolio optimization: the ideal risk, uncertainty, and performance measures
ISBN 978-0-470-05316-4
Rachev, S. T.
Advanced stochastic models, risk assessment, and portfolio optimization: the ideal risk, uncertainty, and performance measures
Серия: The Frank J. Fabozzi series
John Wiley & Sons, 2008 г.ISBN 978-0-470-05316-4
Книга
Advances in quantitative asset management
Kluwer Academic Publishers, 2000 г.
ISBN 0-7923-7778-8
Advances in quantitative asset management
Kluwer Academic Publishers, 2000 г.
ISBN 0-7923-7778-8
Книга
Advances in the valuation and management of mortgage-backed securities
Frank J. Fabozzi Associates, 1998 г.
ISBN 1-88324-952-X
Advances in the valuation and management of mortgage-backed securities
Frank J. Fabozzi Associates, 1998 г.
ISBN 1-88324-952-X
Книга
Shenoy, C.
Applied portfolio management: how University of Kansas students generate alpha to beat the Street
ISBN 978-0-470-04172-7
Shenoy, C.
Applied portfolio management: how University of Kansas students generate alpha to beat the Street
Серия: Wiley finance series
John Wiley & Sons, 2008 г.ISBN 978-0-470-04172-7
Книга
Esch, L.
Asset and risk management: risk oriented finance
ISBN 0-471-49144-6
Esch, L.
Asset and risk management: risk oriented finance
Серия: Wiley finance series
John Wiley & Sons, 2005 г.ISBN 0-471-49144-6
Книга
Acharya, S.
Asset management: equities demystified
ISBN 0-471-55791-9
Acharya, S.
Asset management: equities demystified
Серия: Wiley finance series
John Wiley & Sons, 2002 г.ISBN 0-471-55791-9
Книга
Franks, J.
Asset management and investor protection: an international analysis
Oxford University Press, 2003 г.
ISBN 0-19-926193-8
Franks, J.
Asset management and investor protection: an international analysis
Oxford University Press, 2003 г.
ISBN 0-19-926193-8
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
Mayo, H.
Basic investments
ISBN 0-324-31956-8
Mayo, H.
Basic investments
Серия: Series in finance
South-Western, Thomson, 2006 г.ISBN 0-324-31956-8
Книга
Ward, J.
Benefits management: delivering value from IS & IT investments
John Wiley & Sons, 2006 г.
ISBN 0-470-09463-X
Ward, J.
Benefits management: delivering value from IS & IT investments
John Wiley & Sons, 2006 г.
ISBN 0-470-09463-X
Книга
Dowd, K.
Beyond value at risk: the new science of risk management
ISBN 0-471-97622-9
Dowd, K.
Beyond value at risk: the new science of risk management
Серия: Wiley frontiers in finance
John Wiley & Sons, 1998 г.ISBN 0-471-97622-9
Статья
Зайнашев, Т.
BI-системы: повышение качества принятия инвестиционных решений
б.г.
ISBN отсутствует
Зайнашев, Т.
BI-системы: повышение качества принятия инвестиционных решений
б.г.
ISBN отсутствует
Книга
Fabozzi, F. J.
Bond markets, analysis and strategies
Prentice-Hall International, Inc., 1996 г.
ISBN 0-13-520370-8
Fabozzi, F. J.
Bond markets, analysis and strategies
Prentice-Hall International, Inc., 1996 г.
ISBN 0-13-520370-8
Книга
Fabozzi, F. J.
Bond markets, analysis, and strategies
Pearson Education, Prentice Hall, 2007 г.
ISBN отсутствует
Fabozzi, F. J.
Bond markets, analysis, and strategies
Pearson Education, Prentice Hall, 2007 г.
ISBN отсутствует
Книга
Fabozzi, F. J.
Bond portfolio management
Frank J. Fabozzi Associates, 2001 г.
ISBN 1-88324-936-8
Fabozzi, F. J.
Bond portfolio management
Frank J. Fabozzi Associates, 2001 г.
ISBN 1-88324-936-8
Книга
Douglas, L. G.
Bond risk analysis: a guide to duration and convexity
New York Institute of Finance, 1990 г.
ISBN 0-13-221037-1
Douglas, L. G.
Bond risk analysis: a guide to duration and convexity
New York Institute of Finance, 1990 г.
ISBN 0-13-221037-1
Книга
Langdon, K.
Building a Value Portfolio: Learn to Uncover the Hidden Value of Shares
PITMAN PUBLISHING, 1997 г.
ISBN 0-273-63029-6
Langdon, K.
Building a Value Portfolio: Learn to Uncover the Hidden Value of Shares
PITMAN PUBLISHING, 1997 г.
ISBN 0-273-63029-6
Книга
Bernstein, P. L.
Capital ideas: the improbable origins of modern Wall Street
John Wiley & Sons, 1992 г.
ISBN 0-471-73174-9
Bernstein, P. L.
Capital ideas: the improbable origins of modern Wall Street
John Wiley & Sons, 1992 г.
ISBN 0-471-73174-9
Книга
Madden, B. J.
CFROI valuation: a total system approach to valuing the firm: cash flow return on investment
Butterworth-Heinemann, 2003 г.
ISBN 0-7506-3865-6
Madden, B. J.
CFROI valuation: a total system approach to valuing the firm: cash flow return on investment
Butterworth-Heinemann, 2003 г.
ISBN 0-7506-3865-6
Книга
Millard, B. J.
Channel analysis: the key to share price prediction
ISBN 0-471-96845-5
Millard, B. J.
Channel analysis: the key to share price prediction
Серия: Millard on - series
John Wiley & Sons, 1997 г.ISBN 0-471-96845-5
Книга
Upperman, F.
Commitments of traders: strategies for tracking the market and trading profitably
ISBN 0-471-71965-X
Upperman, F.
Commitments of traders: strategies for tracking the market and trading profitably
Серия: Wiley trading series
John Wiley & Sons, 2006 г.ISBN 0-471-71965-X
Препринты
Arefeva, A.
Composition of international equity flows. Препринт WP12/2011/04
НИУ ВШЭ, 2011 г.
ISBN отсутствует
Arefeva, A.
Composition of international equity flows. Препринт WP12/2011/04
НИУ ВШЭ, 2011 г.
ISBN отсутствует
Книга
Hearth, D.
Contemporary investments: security and potrfolio analysis
Harcourt College Publishers, 2001 г.
ISBN 0-03-031528-X
Hearth, D.
Contemporary investments: security and potrfolio analysis
Harcourt College Publishers, 2001 г.
ISBN 0-03-031528-X
Книга
Copulae and multivariate probability distributions in finance
Routledge, 2013 г.
ISBN 978-0-415-81485-0
Copulae and multivariate probability distributions in finance
Routledge, 2013 г.
ISBN 978-0-415-81485-0
Книга
Crabbe, L. E.
Corporate bond portfolio management
ISBN 0-471-21827-8
Crabbe, L. E.
Corporate bond portfolio management
Серия: Wiley finance series
John Wiley & Sons, 2002 г.ISBN 0-471-21827-8
Книга
Corporate finance and portfolio management: level I, 2010
ISBN 978-0-558-16020-3
Corporate finance and portfolio management: level I, 2010
Серия: CFA Program curriculum
Pearson, 2010 г.ISBN 978-0-558-16020-3
Книга
Chaplin, G.
Credit derivatives: risk management, trading & investing
ISBN 0-470-02416-X
Chaplin, G.
Credit derivatives: risk management, trading & investing
Серия: Wiley finance series
John Wiley & Sons, 2005 г.ISBN 0-470-02416-X
Книга
El-Erian, M. A.
Cuando los mercados chocan: estrategias de inversion para una era de cambio economico
Granica, 2009 г.
ISBN 978-84-8358-161-2
El-Erian, M. A.
Cuando los mercados chocan: estrategias de inversion para una era de cambio economico
Granica, 2009 г.
ISBN 978-84-8358-161-2
Книга
Brown, D. L.
Cyber-investing: cracking Wall Street with your personal computer
John Wiley & Sons, 1997 г.
ISBN 0-471-16986-2
Brown, D. L.
Cyber-investing: cracking Wall Street with your personal computer
John Wiley & Sons, 1997 г.
ISBN 0-471-16986-2
Книга
Fox-Andrews, M.
Derivatives markets and investment management
Prentice Hall/ Woodhead-Faulkner, 1995 г.
ISBN 0-13-343013-8
Fox-Andrews, M.
Derivatives markets and investment management
Prentice Hall/ Woodhead-Faulkner, 1995 г.
ISBN 0-13-343013-8
Книга
McGrath, V.
Directory of stockbrokers and investment managers: how to find the best advice and services
ISBN 0-273-62519-5
McGrath, V.
Directory of stockbrokers and investment managers: how to find the best advice and services
Серия: Investors chronicle
PITMAN PUBLISHING, 1997 г.ISBN 0-273-62519-5
Книга
Duffie, D.
Dynamic asset pricing theory
Princeton University Press, 2001 г.
ISBN 978-0-691-09022-1
Duffie, D.
Dynamic asset pricing theory
Princeton University Press, 2001 г.
ISBN 978-0-691-09022-1
Книга
Michaud, R.O.
Efficient asset management: a practical guide to stock portfolio optimization and asset allocation
Harvard Business School Press, 1998 г.
ISBN 0-87584-743-9
Michaud, R.O.
Efficient asset management: a practical guide to stock portfolio optimization and asset allocation
Harvard Business School Press, 1998 г.
ISBN 0-87584-743-9
Книга
Hooke, J. C.
Emerging markets: a practical guide for corporations, lenders, and investors
ISBN 0-471-36099-6
Hooke, J. C.
Emerging markets: a practical guide for corporations, lenders, and investors
Серия: Wiley finance series
John Wiley & Sons, 2001 г.ISBN 0-471-36099-6