Wiley finance series

書目資訊

portable financial analyst
corporate governance and risk
monte carlo simulation and finance
synthetic and structured assets
modeling risk
evaluating hedge fund and cta perfor...
securitization
foreign exchange
credit risk modeling using excel and vba
options pricing models and volatilit...
handbook of hedge funds
equity hybrid derivatives
structured finance modeling with obj...
an introduction to the bond markets
fundamentals of hedge fund management :
hedge fund compliance and risk manag...
derivatives :
investment strategies of hedge funds /
macrofinancial risk analysis /
project financing :
alternative alternatives :
extreme events :
investment project design :
swaps and other derivatives /
handbook of infrastructure investing /
fund of funds investing :
mastering corporate finance essentials :
building financial models with micro...
financial risk forecasting :
behavioural investing :
frontiers of modern asset allocation /
corporate governance regulation :
macrofinancial risk analysis
mastering corporate finance essentials
introduction to private equity
erm, enterprise risk management
operational risk management
volatility smile :
hedge fund modelling and analysis :
mergers and acquisitions basics :
capital markets :
hedge fund investing :
analytics for insurance :
derivatives essentials :
equity value enhancement :
fintech innovation
fundamentals of islamic money and ca...
hedge fund modelling and analysis us...
infrastructure as an asset class :
manufacturing and managing customer-...
modern islamic banking :
next generation excel
takaful investment portfolios
economics of commodity markets /
upside of aging :
volatility smile :
etf handbook :
trading systems and methods
workout in computational finance
accounting for derivatives
alts democratized
asian financial statement analysis
banker's guide to new small business...
bayesian risk management
behavioral finance
best-practice eva
compliance revolution
bonds without borders
business risk and simulation modelli...
central counterparties
credit securitizations and derivatives
deep value
derivatives analytics with python
emerging markets in an upside down world
family enterprise
financial markets operations management
financial risk management
financial stability
foreign exchange operations
funds
fx option performance
global pension crisis
goals-based wealth management
handbook of multi-commodity markets ...
how to be an investment banker
impact investment
inside volatility filtering
introduction to private equity
investing in islamic funds
islamic capital markets
islamic finance
liquidity management
m&a information technology best prac...
managing energy risk
markets for managers
mastering illiquidity
measuring and managing liquidity risk
merger arbitrage
mezzanine financing
pricing and hedging financial deriva...
private companies
private equity 4.0
problems and solutions in mathematic...
project financing
property finance
standards of value
succession planning for financial ad...
art of value investing
handbook of hybrid securities
heston model and its extensions in m...
islamic finance handbook
liquidity risk management guide
mathematics of financial models
mechanics of securitization
monetary system
socially savvy advisor
trade lifecycle
xva challenge
trading economics
treasury finance and development banking
understanding bitcoin
upstream petroleum fiscal and valuat...
valuation
valuing pass-through entities
behavioral finance and investor types
buyouts
executive roadmap to fraud preventio...
financial modeling with crystal ball...
financial risk management
governance reimagined
investment theory and risk management
market microstructure
middle market m & a
postmodern investment
private equity operational due diligence
private equity
regulating competition in stock markets
strategic fixed income investing
art of vulture investing
family office book
fundamentals of hedge fund management
handbook of credit risk management
behavioral finance and wealth management
dynamic copula methods in finance
financial risk forecasting
financial risk management
financial simulation modeling in excel
foreign exchange option pricing
frontiers of modern asset allocation
hedging market exposures
investor's guide to loss recovery
islamic capital markets
someday rich
handbook of convertible bonds
handbook of news analytics in finance
islamic banking and finance workbook
risk premium factor
understanding oil prices
venture capital valuation
xva
financial valuation :
understanding systemic risk in globa...
understanding systemic risk in globa...
financial valuation workbook :
operational risk management
asset liability management optimization
early stage valuation
interest rate risk in the banking book :
modern portfolio management :
market momentum :
operational risk management :
operational risk modelling in financ...
private debt :
 
 
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