Книги
Derivate und Interne Modelle
Deutsch, H.-P. Derivate und Interne Modelle : Modernes Risikomanagement / H.-P. Deutsch. — 2., uberarbeitete und erweiterte Aufl.. — Stuttgart : Schaffer-Poeschel, 2001. — 640 S.+ CD-ROM N 197. — . Деривативы и внутренние модели. Современное управление рисками. — 3069.00 р.
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УДК:339.9
Рекомендовано к ознакомлению
- 1. Modern Portfolio Theory and Investment Analysis / E.J. Elton, M.J. Gruber, S.J. Brown, W.N. Goetzmann. — 7th Ed.. — New York : J.Wiley & Sons, 2003. — 706 p.
- 2. Skipper, H.D. Risk Management and Insurance / H.D. Skipper, W.J. Kwon. — Malden : Blackwell Publ., 2007. — 751 p.
- 3. Investment mathematics / A. T. Adams, P. M. Booth, D. C. Bowie, D. S. Freeth. — London : J.Wiley & Sons, 2003. — 419 p.. — (Wiley Finance).
- 4. Peterson, R.H. Accounting for Fixed Assets / R.H. Peterson. — 2nd Ed.. — New York : J.Wiley & Sons, 2002. — 194 p.
- 5. Pickett, K.H.S. Audit planning / K. H.S. Pickett. — Hoboken : J.Wiley & Sons, 2005. — 288 p.
- 6. Laffont, J.-J. The Theory of Incentives / J.-J. Laffont, D. Martimort. — Princeton : Princeton University Press, 2002. — 421 p.
- 7. International Accounting Standards 2001. — London : International Accounting Standards Committee, 2001. — 1528 p.
- 8. Bouchet, M.H. Managing сountry risk in an age of globalization / M. H. Bouchet, C. A. Fishkin, A. Goguel. — Cham : Palgrave Macmillan, 2018. — 527 p.. — ISBN 978-3-319-89751-6.
- 9. Nicholson, W. Microeconomic Theory / W. Nicholson. — 8th Ed.. — Australia : South-Western, 2001. — 748 p.
- 10. Principles of Forecasting / Ed. J.S. Armstrong. — Boston : Kluwer Academic Publishers, 2001. — 850 p.
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