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Title |
Author / Artist |
Prod Type |
ISBN/ISBN-13 or UPC |
Pub Date |
Price |
| | A Behavioral Approach to Asset Pricing (Academic Press Advanced Finance) | Shefrin, Hersh | Hardcover | 0123743567 / 9780123743565 | 05/2008 | $98.10 |
| | Fixed Income Markets and Their Derivatives (Academic Press Advanced Finance) | Sundaresan, Suresh | Hardcover | 0123704715 / 9780123704719 | 03/2009 | $92.70 |
| | Multifractal Volatility: Theory, Forecasting, and Pricing (Academic Press Advanced Finance) | Calvet, Laurent E. | Hardcover | 0121500136 / 9780121500139 | 09/2008 | $91.03 |
| | Neural Networks in Finance: Gaining Predictive Edge in the Market (Academic Press Advanced Finance) | McNelis, Paul D. | Hardcover | 0124859674 / 9780124859678 | 12/2004 | $108.90 |
| | Principles of Cash Flow Valuation: An Integrated Market-Based Approach | Tham, Joseph | Hardcover | 0126860408 / 9780126860405 | 02/2004 | $91.03 |
| | Quantitative Finance for Physicists: An Introduction | Schmidt, Anatoly B. | Hardcover | 012088464X / 9780120884643 | 12/2004 | $77.17 |
| | Rating Based Modeling of Credit Risk: Theory and Application of Migration Matrices (Academic Press Advanced Finance) | Trueck, Stefan | Hardcover | 0123736838 / 9780123736833 | 12/2008 | $92.02 |
| | Risk Analysis in Theory and Practice (Academic Press Advanced Finance) | Chavas, Jean-Paul | Hardcover | 0121706214 / 9780121706210 | 06/2004 | $94.00 |
| | Value at Risk and Bank Capital Management: Risk Adjusted Performances, Capital Management and Capital Allocation Decision Making (Academic Press Advanced Finance) | Saita, Francesco | Hardcover | 0123694663 / 9780123694669 | 02/2007 | $90.90 |
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