Risk management and financial institutions / John Hull

Livre

Hull, John C. (1946-....). Auteur

Edited by Pearson Prentice Hall. Upper Saddle River (N.J.) - 2007

Vérification des exemplaires disponibles ...

Se procurer le document

Vérification des exemplaires disponibles ...

Suggestions

Du même auteur

Risk management and financial institutions / John C. Hull

Livre | Hull, John C. (1946-....). Auteur | 2018 - Fifth edition

"Risk Management and Financial Institutions, Fifth Edition explains all aspects of financial risk and financial institution regulation, helping you better understand the financial markets—and their potential dangers. Inside, you’l...

Options, futures, and other derivatives / John C. Hull, ...

Livre | Hull, John C. (1946-....). Auteur | 2022 - 11th edition

A perennial best-seller and a go-to book not only for instructors and students but also for business and economics professionals, Options, futures, and other derivatives gives readers a modern look at the derivatives market. By in...

Options, futures, and other derivatives / John C. Hull,...

Livre | Hull, John C. (1946-....). Auteur | 2012 - 8th edition

Du même sujet

Risk management and financial institutions / John C. Hull

Livre | Hull, John C. (1946-....). Auteur | 2018 - Fifth edition

"Risk Management and Financial Institutions, Fifth Edition explains all aspects of financial risk and financial institution regulation, helping you better understand the financial markets—and their potential dangers. Inside, you’l...

Scenarios for risk management and global investment strategies / Rachel E.S...

Livre | Ziemba, Rachel E. S.. Auteur | 2007

The most important thing : uncommon sense for the thoughtful investor / How...

Livre | Marks, Howard (1949-....). Auteur | 2011

This book explains the keys to successful investment and the pitfalls that can destroy capital or ruin a career. Utilizing passages from his memos to illustrate his ideas, Marks teaches by example, detailing the development of an ...

The number that killed us : a story of modern banking, flawed mathematics, ...

Livre | Triana, Pablo - économiste. Auteur | 2012

"A critical look at the risk measurement tool that has repeatedly, and severely, hurt the financial worldThe credit crisis that erupted in 2007 is by no means the only shock to have shaken the financial markets throughout the year...

La gestion des risques en assurance / Axelle Brault-Fonters, Nicolas Guilla...

Livre | Brault-Fonters, Axelle. Auteur | 2016

La 4ème de couverture indique : "La gestion des risques est au coeur de l'activité des organismes d'assurance depuis toujours, mais cette réalité est renforcée par les exigences de la directive Solvabilité 2 qui impose notamment l...

La boîte à outils du contrôle de gestion : 60 outils clés en main + 3 vidéo...

Livre | Selmer, Caroline (19..-....) - consultante-formatrice. Auteur | 2023

Chargement des enrichissements...