Your search returned 230 results.

181.
What happened to Goldman Sachs: An Insider's story of organi

by Mandis, Steven G.

Material type: Text Text Publisher: Boston,Harvard Business Review Pr,2013Availability: Items available for loan: Call number: 332.660973/MAN (1).

182.
Macroprudential frameworks in Asia

by Maino, Rodolfo | Barnett, Steven A.

Material type: Text Text Publisher: Washington DC,IMF,2013Availability: Items available for loan: Call number: 332.1095/MAI (1).

183.
Mathematical risk analysis : Dependence, risk bounds, optimal allocations and portfolios / Ludger Ruschendorf

by Ruschendorf, Ludger.

Material type: Text Text Publisher: Berlin,Springer-Verlag,2013Availability: Items available for loan: Call number: 332.015195 RUS (1).

184.
The Science of algorithmic trading and portfolio management

by Kissell, Robert.

Material type: Text Text Publisher: Amsterdam,Academic Pr,2014Availability: Items available for loan: Call number: 332.6/KIS (1).

185.
Multi-asset risk modeling: Techniques for a global economy i

by Glantz, Morton | Kissell, Robert.

Material type: Text Text Publisher: Amsterdam,Elsevier,2013Availability: Items available for loan: Call number: 332.6323/GLA (1).

186.
Portfolio management under stress: A Bayesian-net approach t

by Rebonato, Riccardo | Denev, Alexander.

Material type: Text Text Publisher: Cambridge,Cambridge Uni Pr,2013Availability: Items available for loan: Call number: 332.6015118/REB (1).

187.
Portfolio analytics: An Introduction to return and risk meas

by Marty, Wolfgang.

Material type: Text Text Publisher: Cham,Springer-Verlag,2013Availability: Items available for loan: Call number: 332.6015118/MAR (1).

188.
Private equity at work: When wall street manages main street

by Appelbaum, Eileen | Batt, Rosemary.

Material type: Text Text Publisher: New York,Russell Sage Foundation,2014Availability: Items available for loan: Call number: 332.04150973/APP (1).

189.
Financial derivatives and the globalization of risk

by LiPuma, Edward | Benjamin, Lee.

Material type: Text Text Publisher: Durham,Duke Uni Pr,2004Availability: Items available for loan: Call number: 332.645/LIP (1).

190.
Systemic risk: The Myth of rational finance and the crisis o

by Willke, Helmut | Rostasy, Carla | Becker, Eva.

Material type: Text Text Publisher: Frankfurt,Campus Verlag,2013Availability: Items available for loan: Call number: 332/WIL (1).

191.
Financial stability report

by Reserve Bank of India, Mumbai.

Material type: Text Text Publisher: Mumbai,RBI,2014Availability: Items available for loan: Call number: 332.0954/RBI (1).

192.
Managing equity portfolios: A Behavioral approach to improvi

by Ervolini, Michael A.

Material type: Text Text Publisher: Cambridge,MIT Pr,2014Availability: Items available for loan: Call number: 332.6322/ERV (1).

193.
Developments in mean-variance efficient portfolio selection

by Agarwal, Megha.

Material type: Text Text Publisher: Hampshire,Palgrave,2014Availability: Items available for loan: Call number: 332.632042/AGA (1).

194.
High-frequency trading and probability theory

by Wang, Zhaodong | Zheng, Weian.

Material type: Text Text Publisher: Singapore,World Scientific,2015Availability: Items available for loan: Call number: 332.6420285/WAN (1).

195.
Portfolio theory and risk management

by Capinski, Maciej J | Kopp, Ekkehard.

Material type: Text Text Publisher: Cambridge,Cambridge Uni Pr,2014Availability: Items available for loan: Call number: 332.6/CAP (1).

196.
Against the troika: Crisis and austerity in the Eurozone

by Flassbeck, Heiner | Lapavitsas, Costas.

Material type: Text Text Publisher: London,Verso,2015Availability: Items available for loan: Call number: 332.4566094/FLA (1).

197.
Efficiently inefficient: How smart money invests and market

by Pedersen, Lasse Heje.

Material type: Text Text Publisher: Princeton,Princeton Uni Pr,2015Availability: Items available for loan: Call number: 332.6/PED (1).

198.
Foundations of financial risk: An Overview of financial risk

by Apostolik, Richard | Donohue, Christopher.

Material type: Text Text Publisher: New Jersey,John Wiley,2015Availability: No items available : Checked out (1).

199.
Investment risk management

by Baker, H. Kent [ed] | Filbeck, Greg [ed].

Material type: Text Text Publisher: Oxford,Oxford Uni Pr,2015Availability: Items available for loan: Call number: 332.6/BAK (1).

200.
Model risk in financial markets: From financial engineering

by Tunaru, Radu.

Material type: Text Text Publisher: Singapore,World Scientific,2015Availability: Items available for loan: Call number: 332.0415/TUN (1).


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