diversification and portfolio manage...
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diversification and portfolio management of mutual funds
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選擇權易利通:交易實務與策略大全
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fundamentals of financial statement ...
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fundamentals of financial statement analysis as applied to the coca-cola company
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金融海嘯:金融危機的成因,中央銀行、信用泡沫、與效率市場的謬誤
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金融海嘯:金融危機的成因,中央銀行、信用泡沫、與效率市場的謬誤
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如何使基金報酬最大化
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hedge fund technology
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xbrl:21世紀的財務報導
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new global regulatory landscape : im...
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new global regulatory landscape : impacts on finance and investment
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投資新中國:錢進中國,掌握投資獲利新契機
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企業現金調度與管理 : 管理現金增利潤,活用現金開利機
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企業現金調度與管理 : 管理現金增利潤,活用現金開利機
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strategy, value and risk : the real ...
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strategy, value and risk : the real options approach
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quantitative portfolio optimisation,...
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quantitative portfolio optimisation, asset allocation and risk management
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次貸風暴:撼動世界經濟的金融危機,剖析次貸風暴的前因後果 = subpr...
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次貸風暴:撼動世界經濟的金融危機,剖析次貸風暴的前因後果 = subprime storm
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打敗大盤的股市策略:耶魯大學基金操盤人史雲生長期打敗大盤的創新投資策略
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打敗大盤的股市策略:耶魯大學基金操盤人史雲生長期打敗大盤的創新投資策略
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credit risk of complex derivatives
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credit risk of complex derivatives
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mergers and acquisitions
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foreign exchange in practice : the n...
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foreign exchange in practice : the new environment
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investment banking & brokerage : the...
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investment banking & brokerage : the new rules of the game
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operational risk management
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operational risk management
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asset management standards : corpora...
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asset management standards : corporate govermance for asset management
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