Your search returned 1516 results.

1281.
Interest rate risk modeling the fixed income valuation course / by Nawalkha, Sanjay K. Publication: Hoboken, N.J. : John Wiley, 2005 . xxvii, 396 p. : Date: 2005 Availability: No items available:

1282.
Essentials of financial risk management by Horcher, Karen A. Publication: Hoboken, N.J. : Wiley, 2005 . 257 p. , Includes index. Date: 2005 Availability: No items available:

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Counterparty risk in the over-the-counter derivates market / by Segoviano Basurto, Miguel A. Publication: . 1 online resource (21 pages) : Availability: No items available:

1287.
Stressing to breaking point : interpreting stress test results / by Worrell, DeLisle. Publication: . 1 online resource (20 pages) : Availability: No items available:

1288.
Bank competition, risk, and asset allocations by Boyd, John H. Publication: [Washington, D.C.] : International Monetary Fund, Research Dept., 2009 . 35 p. , "July 2009." Date: 2009 Availability: No items available:

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Global liquidity, risk premiums and growth opportunities by De Nicol�o, Gianni. Publication: [Washington, DC] : IMF, 2009 . 33 p. : , "March 2009". Date: 2009 Availability: No items available:

1293.
Commodities and the market price of risk / by Roache, Shaun K. Publication: . 1 online resource (25 pages) : Availability: No items available:

1294.
The real effects of financial sector risk by Tieman, Alexander F. Publication: [Washington, D.C.] : International Monetary Fund, 2009 . 32 p. : Date: 2009 Availability: No items available:

1295.
Counterparty risk, impact on collateral flows, and role for central counterparties by Singh, Manmohan, Publication: [Washington, D.C.] : International Monetary Fund, 2009 . 15 p. : , At head of title: Monetary and Capital Markets Department. | "August 2009." Date: 2009 Availability: No items available:

1296.
Euro area sovereign risk during the crisis by Sgherri, Silvia. Publication: [Washington, D.C.] : International Monetary Fund, European Dept., 2009 . 23 p. : , "European Department." Date: 2009 Availability: No items available:

1297.
Perspectives on high real interest rates in Turkey / by Kannan, Prakash. Publication: . 1 online resource (33 pages) : Availability: No items available:

1298.
Portfolio risk analysis by Connor, Gregory. Publication: Princeton : Princeton University Press, 2010 . xxi, 354 p. Date: 2010 Availability: No items available:

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