1 |
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Artificial Intelligence in Financial Markets: Cutting Edge Applications for Risk Management, Portfolio Optimization and Economics [E-Book]
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2016 |
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.
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2 |
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Bank Management and Control: Strategy, Capital and Risk Management [E-Book]
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Wernz, Johannes
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2014 |
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.
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3 |
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Bond Portfolio Optimization [E-Book]
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|
2008 |
|
.
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4 |
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Computational Intelligence Applications to Option Pricing, Volatility Forecasting and Value at Risk [E-Book]
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Mostafa, Fahed
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2017 |
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.
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5 |
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Economics of Pessimism and Optimism: Theory of Knightian Uncertainty and Its Applications [E-Book]
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Nishimura, Kiyohiko G
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2017 |
|
.
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6 |
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Equity valuation and portfolio management [Buch]
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|
2011 |
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Regalstandort: QK 810 F121.
Lit.abteilungen: Freihand.
Verfügbar in: ZB Scheffelstraße.
Anzahl Exemplare: 1.
|
7 |
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Fixed Income Analytics: Bonds in High and Low Interest Rate Environments [E-Book]
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Marty, Wolfgang
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2017 |
|
.
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8 |
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Fuzzy Portfolio Optimization: Theory and Methods [E-Book]
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2008 |
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.
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9 |
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Fuzzy Portfolio Optimization: Advances in Hybrid Multi-criteria Methodologies [E-Book]
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Gupta, Pankaj
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2014 |
|
.
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10 |
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Handbook of Portfolio Construction: Contemporary Applications of Markowitz Techniques [E-Book]
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Guerard, Jr., John B.
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2010 |
|
.
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11 |
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Handbook of Recent Advances in Commodity and Financial Modeling: Quantitative Methods in Banking, Finance, Insurance, Energy and Commodity Markets [E-Book]
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2018 |
|
.
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12 |
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Identifying Stock Market Bubbles: Modeling Illiquidity Premium and Bid-Ask Prices of Financial Securities [E-Book]
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Karimov, Azar
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2017 |
|
.
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13 |
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Implicit Embedded Options in Life Insurance Contracts: A Market Consistent Valuation Framework [E-Book]
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Rüfenacht, Nils
|
2012 |
|
.
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14 |
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Introduction to Financial Forecasting in Investment Analysis [E-Book]
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Guerard, Jr., John B.
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2013 |
|
.
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15 |
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Kreditderivate und Kreditrisikomodelle: Eine mathematische Einführung [E-Book]
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|
2006 |
|
.
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16 |
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Linear and Mixed Integer Programming for Portfolio Optimization [E-Book]
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Mansini, Renata
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2015 |
|
.
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17 |
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Managed Futures: Versichern Sie Ihr Portfolio: Chancen, Mechanismen und Strategien [E-Book]
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Qureshi, Yasin Sebastian
|
2010 |
|
.
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18 |
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Managed futures: Versichern Sie Ihr Portfolio: Chancen, Mechanismen und Strategien [Buch]
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Qureshi, Yasin Sebastian
|
2010 |
|
Regalstandort: QK 660 Q9.
Lit.abteilungen: Freihand.
Verfügbar in: ZB Scheffelstraße.
Anzahl Exemplare: 1.
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19 |
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Mathematical Financial Economics: A Basic Introduction [E-Book]
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Evstigneev, Igor V.
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2015 |
|
.
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20 |
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Modellierung derivater Finanzinstrumente: Theorie und Implementierung [Buch]
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Schlüchtermann, Georg
|
2010 |
|
Regalstandort: SK 980 S346.
Lit.abteilungen: Freihand.
Verfügbar in: Hauptbibliothek.
Anzahl Exemplare: 1.
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