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  1. 1

    Corporate and project finance modeling : theory and practice by Bodmer, E. (Edward)

    Published 2014
    Full text (Emmanuel users only)
    Electronic eBook
  2. 2

    Extreme value methods with applications to finance by Novak, Serguei Y.

    Published 2012
    Full text (Emmanuel users only)
    Electronic eBook
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    International Risk Sharing During the Globalization Era. by Matsumoto, Akito

    Published 2009
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    Electronic eBook
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    When Data Helps Policy to Address Systemic Risk by Gaillard, J. C.

    Published 2019
    Full text (Emmanuel users only)
    Electronic eBook
  7. 7

    Riding Global Financial Waves. by Adler, Gustavo

    Published 2012
    Full text (Emmanuel users only)
    Electronic eBook
  8. 8

    Measuring and managing federal financial risk

    Published 2010
    Full text (Emmanuel users only)
    Electronic eBook
  9. 9

    Measuring and managing federal financial risk

    Published 2010
    Full text (Emmanuel users only)
    Electronic eBook
  10. 10

    The Real Effects of Financial Sector Risk. by Maechler, Andrea M.

    Published 2009
    Full text (Emmanuel users only)
    Electronic eBook
  11. 11

    Financial origami : how the Wall Street model broke by Moynihan, Brendan

    Published 2011
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    Electronic eBook
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    Pandora's risk : uncertainty at the core of finance by Osband, Kent

    Published 2011
    Full text (Emmanuel users only)
    Electronic eBook
  14. 14

    The Banking Sector under Financial Stability by Ramlall, Indranarain

    Published 2018
    Full text (Emmanuel users only)
    Electronic eBook
  15. 15

    Quantifying systemic risk

    Published 2013
    Full text (Emmanuel users only)
    Electronic eBook
  16. 16

    Innovation in Financial Services : a Dual Ambiguity. by Mention, Anne-Laure

    Published 2014
    Full text (Emmanuel users only)
    Electronic eBook
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    Hedge funds and systemic risk by Dixon, Lloyd S.

    Published 2012
    Full text (Emmanuel users only)
    Electronic eBook
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    Handbook on systemic risk

    Published 2013
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    Electronic eBook
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    Financial risk modelling and portfolio optimization with R by Pfaff, Bernhard

    Published 2016
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    Electronic eBook
  25. 25

    Barriers to household risk management

    Published 2012
    Full text (Emmanuel users only)
    Electronic eBook
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