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Advanced stochastic models, risk assessment, and portfolio optimization : the ideal risk, uncertainty, and performance measures2008»»»
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Advances in financial risk management : corporates, intermediaries and portofolios2013»»»
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Aggregation by risk type and inter-risk correlation2008»»»
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Allgemeine Bankbetriebslehre1969»»»
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Almost concluding thoughts between a comparative analysis and a sensitivity analysis : look over the regulatory view»»»
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Alternative investements in SWF and central bank portofolios2011»»»
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Analiza economico-financiara : probleme rezovate2007»»»
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Analiza investitiilor imobiliare2009»»»
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Analiza macroprudentiala : cadru de evaluare a riscului sistemic : provocari pentru politica monetara in conditiile unor riscuri ridicate la adresa stabilitatii financiare2009»»»
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Editura:
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Subiecte:
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Serie:
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Analiza riscurilor in sistemele informatice economice2004»»»
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Analiza si diagnostic financiar-contabil : ghid teoretico-aplicativ2008»»»
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Analysis and pre-emptive measures: can they deliver a "soft landing"? Why focus on a "soft landing"?2007»»»
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Analysis of financial time series2010»»»
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Analysis of financial time series2005»»»
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Analytical approach to credit risk modelling2003»»»
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Editura:
Risk Books
- ISBN: -
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Subiecte:
Risc
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Oras:
Londra
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Serie:
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Asset alocation for central banks : oprimally combining liquidity, duration, currency and non-government risk2004»»»
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Asset and risk management : risk oriented finance2005»»»
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