Your search returned 223 results.

141.
Rating based modeling of credit risk: Theory and application

by Trueck, Stefan | Rachev Svetlozar T.

Material type: Text Text Publisher: New York,Academic Pr,2009Availability: Items available for loan: Call number: 332.7011/TRU (1).

142.
Introduction to derivative financial instruments: Options, f

by Chorafas, Dimitris N.

Material type: Text Text Publisher: New York,McGraw-Hill,2008Availability: Items available for loan: Call number: 332.6457/CHO (1).

143.
Quantitative fund management. Ed. by M.A.H. Dempster and Gau

by Dempster, M.A.H [ed] | Pflug, Georg [ed] | Mitra, Gautam [ed].

Material type: Text Text Publisher: Boca Raton,CRC Pr,2009Availability: Items available for loan: Call number: 332.632042/DEM (1).

144.
Concentration risk in credit portfolios

by Lutkebohmert, Eva.

Material type: Text Text Publisher: Berlin,Springer-Verlag,2009Availability: Items available for loan: Call number: 332.7/LUT (1).

145.
The (mis)behaviour of markets: A Fractal view of risk, ruin

by Mandelbrot, Benoit B | Hudson Richard L.

Material type: Text Text Publisher: London,Profile Books,2004Availability: Items available for loan: Call number: 332.01/MAN (1).

146.
Risk management for central banks and other public investor / Ed. by Ulrich Bindseil, Fernando Gonzalez and Evangelos Tabakis

by Bindseil, Ulrich [Ed.] | Gonzalez, Fernando [Ed.] | Tabakis, Evangelos [Ed.].

Material type: Text Text Publisher: Cambridge,Cambridge Uni Pr,2009Availability: Items available for loan: Call number: 332.110681 BIN (1).

147.
Anticipating correlations: A new paradigm for risk managemen

by Engle, Robert.

Material type: Text Text Publisher: Princeton,Princeton Uni Pr,2009Availability: Items available for loan: Call number: 332.645015118/ENG (1).

148.
Inside the house of money: Top hedge fund traders on profiti

by Drobny, Steven.

Material type: Text Text Publisher: New Jersey,John Wiley,2006Availability: Items available for loan: Call number: 332.645/DRO (1).

149.
Studies of IMF governance: A Compendium. Ed. by Ruben Lamdan

by Lamdany, Ruben [ed] | Diaz-Martinez, Leonardo [ed].

Material type: Text Text Publisher: Washington,IMF,2009Availability: Items available for loan: Call number: 332.152/LAM (1).

150.
The Fat tail: The Power of political knowledge for strategic

by Bremmer, Ian | Keat Preston.

Material type: Text Text Publisher: New Delhi,Oxford Uni Pr,2009Availability: Items available for loan: Call number: 332.6/BRE (1).

151.
Optimizing optimization: The Next generation of optimization

by Satchell, Stephen.

Material type: Text Text Publisher: Amsterdam,Elsevier,2010Availability: Items available for loan: Call number: 332.6/SAT (1).

152.
Pillar II in the new Basel accord: The Challenge of economic

by Resti, Andrea [ed].

Material type: Text Text Publisher: London,Risk Books,2008Availability: Items available for loan: Call number: 332.10681/RES (1).

153.
Operational risk toward Basel III : Best practices and issues in modeling, management and regulation / Ed. by Greg N. Gregoriou

by Gregoriou, Greg N [Ed.].

Material type: Text Text Publisher: New Jersey,John Wiley,2009Availability: Items available for loan: Call number: 332.10681 GRE (1).

154.
Stress-testing the banking system: Methodologies and applica

by Quagliariello, Mario [ed].

Material type: Text Text Publisher: Cambridge,Cambridge Uni Pr,2009Availability: Items available for loan: Call number: 332.10681/QUA (1).

155.
The industrial organization of banking: Bank behavior, marke

by Hoose, David Van.

Material type: Text Text Publisher: Berlin,Springer-Verlag,2010Availability: Items available for loan: Call number: 332.1068/HOO (1).

156.
When markets collide: Investment strategies for the age of g

by El-Erian, Mohamed A.

Material type: Text Text Publisher: New York,McGraw-Hill,2008Availability: Items available for loan: Call number: 332.6/ELE (1).

157.
Portfolio risk analysis

by Connor, Gregory | Korajczyk, Robert A | Goldberg, Lisa R.

Material type: Text Text Publisher: Princeton,Princeton Uni Pr,2010Availability: Items available for loan: Call number: 332.6/CON (1).

158.
Managing risk and creating value with microfinance

by Goldberg, Mike | Palladini, Eric.

Material type: Text Text Publisher: Washington DC,World Bank,2010Availability: Items available for loan: Call number: 332/GOL (1).

159.
Alternative assets and strategic allocation: Rethinking the

by Abbink, John B.

Material type: Text Text Publisher: New Jersey,John Wiley,2010Availability: Items available for loan: Call number: 332.6/ABB (1).

160.
The Future of futures: The Time of money in financing and so

by Esposito, Elena.

Material type: Text Text Publisher: Cheltenham,Edward Elgar,2010Availability: Items available for loan: Call number: 332.645/ESP (1).


For any Suggestions or Query, please contact the library staff @ lib@igidr.ac.in or Phone: 022-69096504/69096563

Powered by Koha