Your search returned 19 results.

1.
The new money management: A framework for asset allocation

by Vince, Ralph.

Material type: Text Text Publisher: New York,John Wiley,1995Availability: Items available for loan: Call number: 332.6/VIN (1).

2.
Global asset allocation: Techniques for optimizing portfolio

by Lederman, Jess (ed) | Klein, Robert A (ed).

Material type: Text Text Publisher: Chichester,John Wiley,1994Availability: Items available for loan: Call number: 332.6/LED (1).

3.
Credit risk measurement: New approaches to value at risk and

by Saunders, Anthony | Linda, Allen.

Material type: Text Text Publisher: New York,John Wiley,2002Availability: Items available for loan: Call number: 332.12/SAU (1).

4.
Measuring market risk

by Dowd, Kevin.

Material type: Text Text Publisher: Chichester,John Wiley,2002Availability: Items available for loan: Call number: 332.632042/DOW (1).

5.
Credit portfolio management

by Smithson, Charles.

Material type: Text Text Publisher: New Jersey,John Wiley,2003Availability: Items available for loan: Call number: 332.1753/SMI (1).

6.
Modern investment management: An equilibrium approach

by Litterman, Bob.

Material type: Text Text Publisher: Chichester,John Wiley,2003Availability: Items available for loan: Call number: 332.6/LIT (1).

7.
Portfolio theory and performance analysis

by Amenc, Noel | Sourd, Veronique Le.

Material type: Text Text Publisher: Chichester,John Wiley,2003Availability: No items available : Withdrawn (1).

8.
The portable financial analyst: What practitioners need to k

by Kritzman, Mark P.

Material type: Text Text Publisher: Chichester,John Wiley,2003Availability: Items available for loan: Call number: 332.6/KRI (1).

9.
Fixed income attribution

by Colin, Andrew.

Material type: Text Text Publisher: Chichester,John Wiley,2005Availability: Items available for loan: Call number: 332.632044/COL (1).

10.
Investing in fixed income securities: Understanding the bond

by Strumeyer, Gary.

Material type: Text Text Publisher: New Jersey,John Wiley,2005Availability: Items available for loan: Call number: 332.6323/STR (1).

11.
Portfolio theory and performance analysis

by Amenc, Noel | Sourd, Veronique Le.

Material type: Text Text Publisher: Chichester,John Wiley,2003Availability: Items available for loan: Call number: 332.6/AME (1).

12.
Credit derivatives: Risk management, trading and investing

by Chaplin, Geoff.

Material type: Text Text Publisher: Chichester,John Wiley,2005Availability: Items available for loan: Call number: 332.645/CHA (1).

13.
Liquidity risk measurement and management : A Practitioner's guide to global best practices / Ed. by Leonard Matz and Peter Neu

by Matz, Leonard [Ed.] | Neu, Peter [Ed.].

Material type: Text Text Publisher: New Jersey,John Wiley,2007Availability: Items available for loan: Call number: 332.1068 MAT (1).

14.
Derivatives: markets, valuation, and risk management

by Whaley, Robert E.

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

15.
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).

16.
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).

17.
Bayesian risk management: A Guide to model risk and sequenti

by Sekerke, Matt.

Material type: Text Text Publisher: New Jersey,John Wiley,2015Availability: Items available for loan: Call number: 332.0415015118/SEK (1).

18.
Understanding systemic risk in global financial markets / Aron Gottesman and Michael Leibrock

by Gottesman, Aron | Leibrock, Michael.

Material type: Text Text; Format: print ; Literary form: Not fiction Publisher: New Jersey,John Wiley,2017Availability: Items available for loan: Call number: 332.0415 GOT (1).

19.
Fixed-income securities : Valuation, risk management and portfolio strategies / Lionel Martellini, Philippe Priaulet and Stephane Priaulet

by Martellini, Lionel | Priaulet, Philippe | Priaulet, Stephane.

Material type: Text Text; Format: print ; Literary form: Not fiction Publisher: Chichester,John Wiley,2003Availability: Items available for loan: Call number: 332.632044 MAR (1).


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

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