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Серия книг
Серия книг
Book Series – Frank J. Fabozzi Series - Page №2
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62 products
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Mean-Variance Analysis in Portfolio Choice and Capital Markets
G. Peter Todd
G. Peter Todd, Harry M. Markowitz
Not available
20367051
0
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Corporate Financial Strategy and Decision Making to Increase Shareholder Value
Harold Bierman, Jr.
Harold Bierman, Jr.
Not available
20366986
0
0
Accounting and Tax Rules for Derivatives
Mark J. P. Anson
Mark J. P. Anson
Not available
20366987
0
0
Dictionary of Financial Risk Management
Gary L. Gastineau
Gary L. Gastineau, Mark P. Kritzman
Not available
20366759
0
0
Modeling the Market: New Theories and Techniques
Sergio M. Focardi
Sergio M. Focardi
Not available
20366686
0
0
Quantitative Financial Risk Management: Theory and Practice
Constantin Zopounidis
Constantin Zopounidis, Emilios Galariotis
Not available
20360244
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0
Active Private Equity Real Estate Strategy
David J. Lynn
David J. Lynn
Not available
20356837
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