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1. Reference Encyclopedia of financial models vol. 1

by Fabozzi, Frank J.

Publisher: New Jersey ; Wiley ; 2013Availability: Items available for reference: [Call number: 332.603 FAB] (1).

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2. Reference Advanced financial risk management tools and techniques for integrated credit risk and interest rate risk management

by Deventer, Donald R. Van ; Imai, Kenji and Mesler, Mark.

Edition: 2nd Publisher: Singapore ; Wiley ; 2013Availability: Items available for reference: [Call number: 332.7 DEV] (1).

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3. Reference Quantitative risk management a practical guide to financial risk

by Coleman, Thomas S.

Publisher: New Jersey ; Wiley ; 2012Availability: Items available for loan: [Call number: 332.10681 COL] (1).

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4. Reference Social marketing vol. 1

by Lefebvre, R. Craig.

Publisher: New Delhi ; Sage Publications ; 2013Availability: Items available for reference: [Call number: 658.8 LEF] (1).

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5. Reference Financial modelling theory, implementation and practice with matlab source

by Kienitz, Jorg and Wetterau, Daniel.

Publisher: New Delhi ; Wiley ; 2012Availability: Items available for loan: [Call number: 332.028553 KIE] (1).

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6. Reference Guide to modern econometrics

by Verbeek, Marno.

Edition: 4thPublisher: United Kingdom ; Wiley ; 2012Availability: Items available for loan: [Call number: 330.015195 VER] (1).

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7. Reference Methods of multivariate analysis

by Rencher, Alvin C. and Christensen, William F.

Edition: 3rdPublisher: New Jersey ; Wiley ; 2012Availability: Items available for loan: [Call number: 519.535 REN] (1).

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