Showing 1 - 20 results of 36 for search '', query time: 0.10s Refine Results
  1. 1

    Assessment in higher education : politics, pedagogy, and portfolios by Courts, Patrick L.

    Westport, Conn. : Praeger, 1993
    Format: Book


  2. 2

    Quantitative management of bond portfolios

    Princeton : Princeton University Press, 2007
    Format: Book


  3. 3

    Global investing : the professional's guide to the world capital markets by Ibbotson, Roger G.

    New York : McGraw-Hill, 1993
    Format: Book


  4. 4

    Applications of artificial intelligence in finance and economics

    Amsterdam ; Oxford : Elsevier JAI, 2004
    Format: Conference Proceeding Book


  5. 5

    The Financial times global guide to investing : the secrets of the world's leading investment gurus

    London ; Washington, DC : Pitman Pub., 1995
    Format: Book


  6. 6

    Expectations investing : reading stock prices for better returns by Rappaport, Alfred

    Boston : Harvard Business School Press, 2001
    Format: Book


  7. 7

    Advanced strategies in financial risk management

    New York : New York Institute of Finance, 1993
    Format: Book


  8. 8

    Portfolio management : theory and application by Farrell, James L. (James Lawrence), 1934-

    New York : McGraw-Hill, 1997
    2nd ed.
    Format: Book


  9. 9

    The day trader : from the pit to the PC by Borsellino, Lewis J., 1957-

    New York : Wiley, 1999
    Format: Book


  10. 10

    The econometrics of financial markets by Campbell, John Y.

    Princeton, N.J. : Princeton University Press, 1997
    Format: Book


  11. 11

    Financial econometrics : problems, models, and methods by Gourieroux, Christian, 1949-

    Princeton, N.J. : Princeton University Press, 2001
    Format: Book


  12. 12

    Global portfolio diversification : risk management, market microstructure, and implementation issues

    San Diego : Academic Press, 1995
    Format: Book


  13. 13

    Efficient asset management : a practical guide to stock portfolio optimization and asset allocation by Michaud, Richard O., 1941-

    Boston, Mass. : Harvard Business School Press, 1998
    Format: Book


  14. 14

    Stochastic calculus and financial applications by Steele, J. Michael

    New York : Springer, 2001
    Format: Book


  15. 15

    The euro and the dollar by McCauley, Robert N. (Robert Neil), 1953-

    Princeton, N.J. : International Finance Section, Dept. of Economics, Princeton University, 1997
    Format: Book


  16. 16

    Investments by Bodie, Zvi

    Homewood, IL : Irwin, 1993
    2nd ed.
    Format: Book


  17. 17

    Fundamentals of the bond market by Faerber, Esme

    New York : McGraw-Hill, 2001
    Format: Book


  18. 18

    Stock market liquidity : implications for market microstructure and asset pricing

    Hoboken, N.J. : J. Wiley & Sons, 2008
    Format: Book


  19. 19

    Investment analysis and portfolio management by Cohen, Jerome B., 1915-1986

    Homewood, Ill. : Irwin, 1987
    5th ed.
    Format: Book


  20. 20

    Fixed income analytics

    Cambridge, Mass. : MIT Press, 1996
    Format: Book