[原版高清]Wiley Finance Series 再新增50本在137樓,,已達204本(全免費)http://bbs./viewthread.php?tid=112669&extra=&page=1
索引: An Arbitrage Guide to Financial Markets 1樓 A Practical Guide to Forecasting Financial Market Volatility 2樓 Corporate Actions A Guide to Securities Event Management 3樓 Discounted Cash Flow A Theory of the Valuation of Firms 4樓 A_Currency_Options_Primer 5樓 An_Introduction_to_the_Bond_Markets 6樓 Applied_Quantitative_Methods_for_Trading_and_Investment 7樓 Capital_Asset_Investment_Strategy Tactics & Tools 8樓 Catastrophic_Risk_Analysis_and_Management 9樓 Economics_and_Finance_of_Risk_and_of_the_Future 10樓 Exchange-Traded Derivatives 11樓 Financial Instrument Pricing Using C++ 12樓 From_Wall_Street_to_the_Great_Wall_How_to_Invest_in_China 13樓 FX Options and Structured Products 14樓 Investment_Strategies_of_Hedge_Funds 15樓 Measuring_Market_Risk 17樓 Multi_Asset_Class_Investment_Strategy 18樓 New_Ways_for_Managing_Global_Financial_Risks_The_Next_Generation 19樓 Portfolio_Theory_and_Performance_Analysis 20樓 Private Equity as an Asset Class 21樓 Hedge_Fund_Course 22樓 Investment Risk Management 24樓 Wall_Street._A_History._From_Its_Beginnings_to_the_Fall_of_Enron 25樓 Mastering Financial Accounting Essentials 28樓 Time Series Applications to Finance 29樓 Option_Theory 30樓 Managing Investment Portfolios A Dynamic Process 3th 31樓 Interest Rate Risk Modeling _ The Fixed Income Valuation Course 32樓 Commodity Trading Advisors Risk, Performance Analysis, and Selection 47樓 Global Securitisation and CDOs 48樓 Inside Volatility Arbitrage The Secrets of Skewness 49樓 Investment Guarantees Modeling and Risk Management for Equity-Linked Life Insurance 50樓 Modeling Structured Finance Cash Flows with Microsoft Excel 51樓 Modern Investment Management An Equilibrium Approach 52樓 Pairs Trading Quantitative Methods and Analysis 53樓 Private Equity Transforming Public Stock to Create Value 54樓 A.History.of.Interest.Rates.Wiley.Finance.Series.4th 62樓 Modeling.Derivatives.in.C++ 63樓 Using.Investor.Relations.to.Maximize.Equity.Valuation 64樓 Advanced Bond Portfolio Management 65樓 Credit Derivatives Instruments, Applications, and Pricing 66樓 Financial Econometric 67樓 Financial Management and Analysis,2e 68樓 Market.Neutral.Strategies 69樓 Measuring and Controlling Interest Rate and Credit Risk 70樓 Robust Portfolio Optimization and Management 71樓 Short Selling Strategies, Risks, and Rewards 72樓 The Handbook of Alternative Assets 73樓 The Handbook of Equity Style Management, 3e 74樓 The Handbook of European Structured Financial Products 75樓 The Handbook of Financial Instruments 76樓 The Mathematics of Financial Modeling and Investment Management 77樓 The Real Estate Investment Handbook 78樓 The theory & practice of Investment management 79樓 The.Global.Money.Markets 80樓 A Fast Track To Structured Finance Modeling, Monitoring and Valuation 94樓 Active Alpha A Portfolio Approach to Selecting and Managing Alternative Investments 95樓 Fabozzi__Introduction to Structured Finance 96樓 Behavioral Finance and Wealth Management How to Build Optimal Portfolios That Account for Investor Biases 97樓 Angel Capital - How to Raise Early-Stage Private Equity Financing 98樓 Carbon Finance The Financial Implications of Climate Change 99樓 Financial Valuation Workbook - Step by Step Exercises and Tests to Help You Master Financial Valuation 100樓 Copula Methods in Finance 101樓 Fixed income attribution 102樓 Credit Risk Modeling using Excel and VBA 104樓 Fourier Transform Methods in Finance 105樓 Franchise Value A Modern Approach to Security Analysis 106樓 Free Cash Flow - Seeing Through the Accounting Fog Machine to Find Great Stocks 107樓 Frontiers_Quantitative_Finance_Volatility 108樓 Handbook Of Hedge Funds 120樓 Infrastructure Finance The Business of Infrastructure for a Sustainable Future 121樓 Investment Leadership and Portfolio Management 122樓 Modern Portfolio Management Active LongShort 13030 Equity Strategies 123樓 Fabozzi__Bayesian Methods in Finance 124樓 Multi-moment Asset Allocation and Pricing Models 125樓 Optimizing the Aging, Retirement, and Pensions Dilemma 126樓 Positive Alpha Generation Designing Sound Investment Processes 127樓 Practical Risk Management 128樓 Private Equity History, Governance, and Operations 129樓 Quantitative Methods in Derivatives Pricing An Introduction to Computational Finance 130樓 Risk Management in Finance Six Sigma and other Next Generation Technique 131樓 Risk Transfer Derivatives in Theory and Practice 132樓 Rumors in Financial Markets Insights into Behavioral Finance 133樓 Structured Finance and Collateralized Debt Obligations New Developments in Cash and Synthetic Securitization 2ed 137樓 SyntheticStructuredAssets: A Practical Guide to Investment and Risk 138樓 The Art of Islamic Banking and Finance Tools and Techniques for Community-Based Banking 139樓 swaps and other derivattives 140樓 The Handbook of Financing Growth 142樓 The Mathematics of Banking and Finance 143樓 The Handbook of Insurance-Linked Securities 144樓 The Monfort Plan The New Architecture of Capitalism 145樓 The Simple Rules of Risk Revisiting the Art of Financial Risk Management 146樓 The Psychology of Money An Investment Manager's Guide to Beating the Market 147樓 Real Options Analysis Tools and Techniques for Valuing Strategic Investments and Decisions 148樓 Unified Financial Analysis the missing links of finance 149樓 Valuing Early Stage and Venture Backed Companies 150樓 Distress Investing Principles and Technique 151樓 Corporate Financial Distress and Bankruptcy Predict and Avoid Bankruptcy, Analyze and Invest in Distressed Debt , 3rd 152樓 Dynamic Term Structure Modeling The Fixed Income Valuation Course 153樓 Financial Engineering with Finite Elements 154樓 Financial Modeling Using Excel and VBA 155樓 Finding Alpha The Search for Alpha When Risk and Return Break Down 156樓 Foreign Exchange A Practical Guide to the FX Markets 157樓 Life Markets Trading Mortality and Longevity Risk with Life Settlements and Linked Securitie 158樓 Mathematical Asset Management 159樓 Mathematics of Derivatives Tools for Designing Numerical Algorithms 160樓 Option Pricing Models and Volatility Using Excel-VBA 161樓 Private Capital Markets - Valuation, Capitalization, and Transfer of Private Business Interests 162樓 Reverse Engineering Deals on Wall Street with Microsoft Excel A Step-by-Step Guid 163樓 Risk Management and Value Creation in Financial Institutions 164樓 Salomon Smith Barney Guide to Mortgage-Backed and Asset-Backed Securities 165樓 Securitization Structuring and Investment Analysis 166樓 Strategic Asset Allocation in Fixed Income Markets A Matlab based user's guide 167樓 The ART of Risk Management 168樓 Valuation of Companies in Emerging Markets A Practical Approach 169樓 fabozzi-- financial management and analysis workbook step-by-step_exercises_and_tests_-_2nd_ed 170樓 fabozzi--Active Private Equity Real Estate Strategy 171樓 fabozzi--Developments in Collateralized Debt Obligations New Products and Insights 172樓 Fabozzi--Financial Modeling of the Equity Market From CAPM to Cointegration 173樓 fabozzi--Fat-Tailed and Skewed Asset Return Distributions Implications for Risk Management, Portfolio Selection, and Option Pricing 174樓 fabozzi--Fixed Income Analysis Workbook, 2nd Edition 175樓 fabozzi--Fixed Income Analysis, 2nd Ed 176樓 Fabozzi--Foundations.of.Economic.Value.Added.2Ed 177樓 fabozzi--Interest Rate, Term Structure, and Valuation Modeling 178樓 fabozzi--Introduction to Securitization 179樓 fabozzi--Investment Performance Measurement 180樓 Fabozzi--Managing Credit Risk in Corporate Bond Portfolios 181樓 fabozzi--Operational Risk A Guide to Basel II Capital Requirements, Models, and Analysis 182樓 fabozzi--Professional Perspectives on Fixed Income Portfolio Management volume 4 183樓 fabozzi--Quantitative Equity Investing Techniques and Strategies 184樓 fabozzi--Structured Products and Related Credit Derivatives~ A Comprehensive Guide for Investors 185樓 fabozzi--The Handbook of European fixed income securities 186樓 fabozzi--The Handbook of Municipal Bonds 187樓 active investment management finding and harnessing investment skill 199樓 alternative risk transfer integrated risk management through insurance,reinsurance and the capital marketsan introduction to market risk measurement 200樓 an introduction to market risk measurement 201樓 applied c# in financial markets 202樓 biotechnology valuation an introductory guide 203樓 Commodity Derivatives Markets and Applications 204樓 country risk assessment a guide to global investment strategy 205樓 Credit Derivatives Risk Management Trading and Investing 206樓 credit risk measurement new approaches to value at risk and other paradigms_2ed 207樓 currency overlay 208樓 currency strategy 2ed the practitioner's guide to currency investing,hedging and forecasting 209樓 demystifying exotic products interest rates'equities and foreign exchang 210樓 derivatives demystified a step-by-step guide forwards,futures,swaps and options 211樓 electricity markets pricing,structures and economics 212樓 Active Credit Portfolio Management in Practice 213樓 Beyond the J Curve Managing a Portfolio of Venture Capital and Private Equity Funds 214樓 Collateralized Debt Obligations and Structured Finance 215樓 Corporate Valuation Modeling A Step-by-Step Guide 216樓 equity asset valuation-2ed CFA2010 217樓 european fixed income markets money,bond and interest rate derivatives 218樓 excel add-in development in c c++ applications in finance 219樓 Exotic Options Trading 220樓 fabozzi--Capital Budgeting Theory and Practice 222樓 fabozzi--Collateralized Debt Obligations Structures and Analysis 223樓 fabozzi--fixed income securities 2e. 224樓 fabozzi--Handbook of Alternative Assets, 2nd Edition 225樓 fabozzi--How to Select Investment Managers & Evaluate Performance A Guide for Pension Funds, Endowments, Foundations, and Trusts 226樓 fabozzi--The Complete CFO Handbook From Accounting to Accountability 227樓 finite difference methods in financial engineering a partial differential equation approach 228樓 fixed income strategy a practitioner's guide to riding the curve 229樓 Fund of Funds Investing A Roadmap to Portfolio Diversification 230樓 GAAP codification enhanced 231樓 global credit management an executive summary 232樓 global private banking and wealth management the new realities 233樓 Implementing Financial Regulation theory and practice 234樓 inflation-indexed securities bonds,swaps and other derivatives 235樓 institutional banking for emerging markets principles and practice 236樓 Introduction to c++ for financial engineers an object-oriented approach 237樓 Investment Leadership Building a Winning Culture for Long-Term Success 238樓 Investment Mathematics 239樓 J-Curve Exposure Managing a Portfolio of Venture Capital and Private Equity Funds 240樓 levy processes in credit risk 241樓 market risk management for hedge funds foundations of the style and implicit value-at-risk 242樓 Modeling and Forecasting Electricity Loads and Prices a statistical approachs 243樓 new ways for managing global financial risks the next generation 244樓 Modelling Prices in Competitive Electricity Markets 245樓 Plumbers and Visionaries Securities Settlement and Europe's Financial Market 249樓 quantitative business valuation a mathematical approach for today's professionals 2ed 250樓 risk adjusted lending conditions an option pricing approach 251樓 Readings for the Financial Risk Manager 252樓 risk management and shareholders'value in banking from risk measurement models to capital allocation policies 256樓 Risk Management in Commodity Markets from Shipping to Agriculturals and Energy 257樓 risk quantification management diagnosis and hedging 258樓 Scenarios for Risk Management and Global Investment Strategies 259樓 simple tools and techniques for enterprise risk management 260樓 statistical arbitrage algorithmic trading insights and techniques 261樓 Strategic Corporate Finance Applications in Valuation and Capital Structure 262樓 Structured Finance The Object Oriented Approach 263樓 the future of banking in a globalised world 264樓 The Future of Investing in Europe's Markets after MiFID 265樓 The LIBOR Market Model in Practice 266樓 the liquidity theory of asset prices 267樓 the mathematiecs of derivatives tools for designing numerical algorithms 268樓 The Practical Guide to Wall Street Equities and Derivatives 269樓 the rating agencies and their credit ratings 270樓 the split capital investment trust crisis 271樓 The Structured Credit Handbook 272樓 transnational equity analysis 273樓 trustee investment strategy for endowments and foundations 274樓 Understanding Islamic Finance 275樓 Valuing Employee Stock Options 276樓 |
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