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21. Strategic risk management : a practical guide to portfolio risk management / [electronic resource]

by Iverson, David.

Material type: book Book; Format: available online remote; Literary form: not fiction Publisher: Singapore : Wiley, ©2013Online Access: Wiley Online Library Availability: No items available

22. Treasury finance and development banking : a guide to credit, debt, and risk / [electronic resource]

by Mazzi, Biagio.

Material type: book Book; Format: available online remote; Literary form: not fiction Publisher: Hoboken, New Jersey : Wiley, [2013]Online Access: Wiley Online Library Availability: No items available

23. The basics of financial econometrics : [electronic resource] tools, concepts, and asset management applications

by Fabozzi, Frank J.

Material type: book Book; Format: available online remote; Literary form: not fiction Publisher: Hoboken, New Jersey : John Wiley & Sons, Inc., [2014]Online Access: Wiley Online Library Availability: No items available

24. Correlation risk modeling and management : an applied guide including the Basel III correlation framework-- with interactive models in Excel/VBA / [electronic resource]

by Meissner, Gunter.

Material type: book Book; Format: available online remote; Literary form: not fiction Publisher: Singapore : Wiley, ©2014Online Access: Wiley Online Library Availability: No items available

25. Corporate and project finance modeling : theory and practice

by Bodmer, E. (Edward).

Material type: book Book; Format: available online remote; Literary form: not fiction Publisher: Hoboken, New Jersey : Wiley, [2014]Online Access: Wiley Online Library Availability: No items available

26. Quantitative financial risk management : theory and practice / [electronic resource]

by Zopounidis, Constantin; Galariotis, Emilios.

Material type: book Book; Format: available online remote; Literary form: not fiction Publisher: Hoboken, New Jersey : Wiley, 2015.Online Access: Wiley Online Library Availability: No items available

27. Bayesian risk management : a guide to model risk and sequential learning in financial markets / [electronic resource]

by Sekerke, Matt.

Material type: book Book; Format: available online remote; Literary form: not fiction Publisher: Hoboken, New Jersey : John Wiley & Sons, Inc., [2015]Online Access: Wiley Online Library Availability: No items available

28. Strategic Risk Management Practice : How to Deal Effectively with Major Corporate Exposures / [electronic resource]

by Andersen, Torben Juul; Schrøder, Peter Winther.

Material type: book Book; Format: electronic available online remote; Literary form: not fiction Publisher: Cambridge : Cambridge University Press, 2010.Online Access: Cambridge Books Online Availability: No items available

29. Financial risk management : models, history, and institutions

by Malz, Allan M.

Material type: book Book; Format: print ; Literary form: not fiction Publisher: New Jersey : Wiley, c2011Online Access: Cover image | Contributor biographical information | Publisher description | Table of contents only Availability: Items available for loan: Dhaka University Library [332 MAF] (2).

30. Finance for executives : managing value creation

by Hawawini, Gabriel; Viallet, Claude.

Edition: 5th ed.Material type: book Book; Format: print ; Literary form: not fiction Publisher: Andover, Hampshire : Cengage Learning, 2015Availability: Items available for loan: Dhaka University Library [332.0681 HAF] (2).

31. Financial risk manager handbook plus test bank : FRM Part I/Part II

by Jorion, Philippe.

Edition: 6th ed.Material type: book Book; Format: print ; Literary form: not fiction Publisher: Hoboken, New Jersey : Wiley, c2011Availability: Items available for loan: Dhaka University Library [658.155 JOF] (1).

32. Financial risk management for Islamic banking and finance

by Akkizidis, Ioannis S; Khandelwal, Sunil Kumar.

Material type: book Book; Format: print ; Literary form: not fiction Publisher: Hampshire ; New York : Palgrave Macmillan, 2008 (2011 printing)Online Access: Contributor biographical information | Publisher description | Table of contents only Availability: Items available for loan: Dhaka University Library [332.1091767 AKF] (2).

33. Financial risk management and derivative instruments

by Dempsey, Michael.

Material type: book Book; Format: print ; Literary form: not fiction Publisher: New York ; London : Routledge, 2021Availability: Items available for loan: Dhaka University Library [332.642 DEF] (2).

Last Updated on September 15, 2019
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