Recommended
Service
|
About Us
|
Register
|
Login
One Search
|
Home
Book
Detail
Risk management in finance : six sigma and other next-generation techniques / Tarantino, Anthony
Author :
Tarantino, Anthony
Rating :
Publisher :
Hoboken N.J. : Wiley
Publish Year :
2009
Category :
Investment Knowledge - Tools - Risk
Page :
xxvi, 327 p
Barcode
Call No.
Volume
Status
Due Date
Total Queue
1010066462
IK00029
Available
0
Please Login
Related Book
Counterparty credit risk : the new challenge for g...
Counterparty credit risk : the new challenge for g...
Real-time risk : what investors should know about ...
Real-time risk : what investors should know about ...
Credit risk assessment : the new lending system fo...
Credit risk assessment : the new lending system fo...
Risk management : foundations for a changing finan...
Risk management : foundations for a changing finan...
A trader’s money management system : how to ensure...
A trader’s money management system : how to ensure...
Advanced credit risk analysis and management : an ...
Valuation of life insurance liabilities : establis...
Market risk management/David C. Shimko...
The risk modeling evaluation handbook : rethinking...
Credit risk measurement : new approaches to value ...
Understanding and managing model risk : a practica...
Integrated bank risk management /David C. Shimko...
Facing up to the risks : how financial institution...
กลไกตลาดทุนสำหรับบริหารความเสี่ยงด้านลมฟ้าอากาศเพื...
An introduction to value-at-risk / Moorad Choudhry...
Valuation of life insurance liabilities : establis...
Risk management, liability insurance, and asset pr...
Credit risk management / Shimko David C...
The handbook of credit risk management : originati...
The tools & techniques of risk management & insura...
Modeling risk : applying Monte Carlo simulation, r...
Risk models and their estimation / Stephen G. Kell...
Financial risk manager handbook / Philippe Jorion...
Operational risk management - the GARP risk series...
Credit derivatives : risk management, trading & in...
Counterparty credit risk : the new challenge for g...
Real-time risk : what investors should know about ...
Credit risk assessment : the new lending system fo...
Risk management : foundations for a changing finan...
A trader’s money management system : how to ensure...
Advanced credit risk analysis and management : an ...
Advanced credit risk analysis and management : an ...
Valuation of life insurance liabilities : establis...
Valuation of life insurance liabilities : establis...
Market risk management/David C. Shimko...
Market risk management/David C. Shimko...
The risk modeling evaluation handbook : rethinking...
The risk modeling evaluation handbook : rethinking...
Credit risk measurement : new approaches to value ...
Credit risk measurement : new approaches to value ...
Understanding and managing model risk : a practica...
Understanding and managing model risk : a practica...
Integrated bank risk management /David C. Shimko...
Integrated bank risk management /David C. Shimko...
Facing up to the risks : how financial institution...
Facing up to the risks : how financial institution...
กลไกตลาดทุนสำหรับบริหารความเสี่ยงด้านลมฟ้าอากาศเพื...
กลไกตลาดทุนสำหรับบริหารความเสี่ยงด้านลมฟ้าอากาศเพื...
An introduction to value-at-risk / Moorad Choudhry...
An introduction to value-at-risk / Moorad Choudhry...
Valuation of life insurance liabilities : establis...
Valuation of life insurance liabilities : establis...
Risk management, liability insurance, and asset pr...
Risk management, liability insurance, and asset pr...
Credit risk management / Shimko David C...
Credit risk management / Shimko David C...
The handbook of credit risk management : originati...
The handbook of credit risk management : originati...
The tools & techniques of risk management & insura...
The tools & techniques of risk management & insura...
Modeling risk : applying Monte Carlo simulation, r...
Modeling risk : applying Monte Carlo simulation, r...
Risk models and their estimation / Stephen G. Kell...
Risk models and their estimation / Stephen G. Kell...
Financial risk manager handbook / Philippe Jorion...
Financial risk manager handbook / Philippe Jorion...
Operational risk management - the GARP risk series...
Operational risk management - the GARP risk series...
Credit derivatives : risk management, trading & in...
Credit derivatives : risk management, trading & in...
Counterparty credit risk : the new challenge for g...
Counterparty credit risk : the new challenge for g...
Real-time risk : what investors should know about ...
Real-time risk : what investors should know about ...
Credit risk assessment : the new lending system fo...
Credit risk assessment : the new lending system fo...
Risk management : foundations for a changing finan...
Risk management : foundations for a changing finan...
A trader’s money management system : how to ensure...
A trader’s money management system : how to ensure...
1
2
3
4
5
6
7
The Stock Exchange of Thailand and the companies in SET Group uses cookies to provide you with a better browsing experience.
Click here
for detailed information on the use of cookies on this site, and how you can manage them.
Accept
×
×
Related Book