図書

The Frank J. Fabozzi series

図書を表すアイコン

The Frank J. Fabozzi series

資料種別
図書
著者
Fabozzi, Frank J.
出版者
Wiley
出版年
2001-
資料形態
ページ数・大きさ等
-
NDC
-
すべて見る

関連資料・改題前後資料

The basics of finance : an introduction to financial markets, business finance, and portfolio management外部サイトInstitutional investment management : equity and bond portfolio strategies and applications外部サイトActive private equity real estate strategy外部サイトThe basics of financial econometrics : tools, concepts, and asset management applications外部サイトRobust equity portfolio management + website : formulations, implementations, and properties using MATLAB外部サイトAdvanced stochastic models, risk assessment, and portfolio optimization : the ideal risk, uncertainty, and performance measures外部サイトMortgage-backed securities : products, structuring, and analytical techniques外部サイトInterest rate, term structure, and valuation modeling外部サイトThe theory and practice of investment management workbook : step-by-step exercises and tests to help you master the Theory and practice of investment management外部サイトFoundations and applications of the time value of money外部サイトHandbook of global fixed income calculations外部サイトThe global money markets外部サイトSimulation and optimization in finance : modeling with MATLAB, @RISK, or VBA外部サイトPortfolio construction and analytics外部サイトOperational risk : a guide to Basel II capital requirements, models, and analysis外部サイトEquity valuation and portfolio management外部サイトProfessional perspectives on fixed income portfolio management外部サイトShort selling : strategies, risks, and rewards外部サイトFat-tailed and skewed asset return distributions : implications for risk management, portfolio selection, and option pricing外部サイトFinancial econometrics : from basics to advanced modeling techniques外部サイトDevelopments in collateralized debt obligations : new products and insights外部サイトThe handbook of European structured financial products外部サイトThe theory and practice of investment management外部サイトHandbook of alternative assets外部サイトQuantitative equity investing : techniques and strategies外部サイトEmerging market real estate investment : investing in China, India, and Brazil外部サイトManaging credit risk in corporate bond portfolios : a practitioner's guide外部サイトCollateralized debt obligations : structures and analysis外部サイトUnlocking the secrets of the Fed : how monetary policy affects the economy and your wealth-creation potential外部サイトFinancial models with Lévy processes and volatility clustering外部サイトSubprime mortgage credit derivatives外部サイトFoundations of economic value added外部サイトIntroduction to fixed income analytics : relative value analysis, risk measures and valuation外部サイトRobust portfolio optimization and management外部サイトMortgage-backed securities : products, structuring, and analytical techniques外部サイトThe handbook of financial instruments外部サイトStructured products and related credit derivatives : a comprehensive guide for investors外部サイトBayesian methods in finance外部サイトMeasuring and controlling interest rate and credit risk外部サイトThe handbook of European fixed income securities外部サイトFinancial modeling of the equity market : from CAPM to cointegration外部サイトThe handbook of municipal bonds外部サイトThe real estate investment handbook外部サイトComplying with the global investment performance standards (GIPS)外部サイトFinancial management and analysis外部サイトCredit derivatives : instruments, applications, and pricing外部サイトInvestment performance measurement外部サイトAdvanced bond portfolio management : best practices in modeling and strategies外部サイトCollateralized debt obligations : structures and analysis外部サイトAnalysis of financial statements外部サイトQuantitative credit portfolio management : practical innovations for measuring and controlling liquidity, spread, and issuer concentration risk外部サイトProbability and statistics for finance外部サイトAnalysis of financial statements外部サイトMarket neutral strategies外部サイトFinance : capital markets, financial management, and investment management外部サイトCapital budgeting : theory and practice外部サイトIntroduction to structured finance外部サイトInvesting in emerging fixed income markets外部サイトReal options and option-embedded securities外部サイトLeveraged finance : concepts, methods, and trading of high-yield bonds, loans, and derivatives外部サイトThe handbook of commodity investing外部サイトQuantitative financial risk management : theory and practice外部サイトFinancial advice and investment decisions : a manifesto for change外部サイトThe mathematics of financial modeling and investment management外部サイトThe handbook of traditional and alternative investment vehicles : investment characteristics and strategies外部サイトSecurities finance : securities lending and repurchase agreements外部サイトModern financial systems : theory and applications外部サイトIntroduction to securitization外部サイトMathematical methods for finance : tools for asset and risk management外部サイトThe handbook of equity style management外部サイトThe theory and practice of investment management : asset allocation, valuation, portfolio construction, and strategies外部サイトHandbook of alternative assets外部サイトSystematic investing in credit外部サイト

書店で探す

目次

  • The basics of finance : an introduction to financial markets, business finance, and portfolio management

  • Institutional investment management : equity and bond portfolio strategies and applications

  • Active private equity real estate strategy

  • The basics of financial econometrics : tools, concepts, and asset management applications

  • Robust equity portfolio management + website : formulations, implementations, and properties using MATLAB

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資料種別
図書
出版事項
出版年月日等
2001-
出版年(W3CDTF)
2001
出版地(国名コード)
us
対象利用者
一般
関連情報
The basics of finance : an introduction to financial markets, business finance, and portfolio management
Institutional investment management : equity and bond portfolio strategies and applications
Active private equity real estate strategy
The basics of financial econometrics : tools, concepts, and asset management applications
Robust equity portfolio management + website : formulations, implementations, and properties using MATLAB
Advanced stochastic models, risk assessment, and portfolio optimization : the ideal risk, uncertainty, and performance measures
Mortgage-backed securities : products, structuring, and analytical techniques
Interest rate, term structure, and valuation modeling
The theory and practice of investment management workbook : step-by-step exercises and tests to help you master the Theory and practice of investment management
Foundations and applications of the time value of money
Handbook of global fixed income calculations
The global money markets
Simulation and optimization in finance : modeling with MATLAB, @RISK, or VBA
Portfolio construction and analytics
Operational risk : a guide to Basel II capital requirements, models, and analysis
Equity valuation and portfolio management
Professional perspectives on fixed income portfolio management
Short selling : strategies, risks, and rewards
Fat-tailed and skewed asset return distributions : implications for risk management, portfolio selection, and option pricing
Financial econometrics : from basics to advanced modeling techniques
Developments in collateralized debt obligations : new products and insights
The handbook of European structured financial products
The theory and practice of investment management
Handbook of alternative assets
Quantitative equity investing : techniques and strategies
Emerging market real estate investment : investing in China, India, and Brazil
Managing credit risk in corporate bond portfolios : a practitioner's guide
Collateralized debt obligations : structures and analysis
Unlocking the secrets of the Fed : how monetary policy affects the economy and your wealth-creation potential
Financial models with Lévy processes and volatility clustering
Subprime mortgage credit derivatives
Foundations of economic value added
Introduction to fixed income analytics : relative value analysis, risk measures and valuation
Robust portfolio optimization and management
Mortgage-backed securities : products, structuring, and analytical techniques
The handbook of financial instruments
Structured products and related credit derivatives : a comprehensive guide for investors
Bayesian methods in finance
Measuring and controlling interest rate and credit risk
The handbook of European fixed income securities
Financial modeling of the equity market : from CAPM to cointegration
The handbook of municipal bonds
The real estate investment handbook
Complying with the global investment performance standards (GIPS)
Financial management and analysis
Credit derivatives : instruments, applications, and pricing
Investment performance measurement
Advanced bond portfolio management : best practices in modeling and strategies
Collateralized debt obligations : structures and analysis
Analysis of financial statements
Quantitative credit portfolio management : practical innovations for measuring and controlling liquidity, spread, and issuer concentration risk
Probability and statistics for finance
Analysis of financial statements
Market neutral strategies
Finance : capital markets, financial management, and investment management
Capital budgeting : theory and practice
Introduction to structured finance
Investing in emerging fixed income markets
Real options and option-embedded securities
Leveraged finance : concepts, methods, and trading of high-yield bonds, loans, and derivatives
The handbook of commodity investing
Quantitative financial risk management : theory and practice
Financial advice and investment decisions : a manifesto for change
The mathematics of financial modeling and investment management
The handbook of traditional and alternative investment vehicles : investment characteristics and strategies
Securities finance : securities lending and repurchase agreements
Modern financial systems : theory and applications
Introduction to securitization
Mathematical methods for finance : tools for asset and risk management
The handbook of equity style management
The theory and practice of investment management : asset allocation, valuation, portfolio construction, and strategies
Handbook of alternative assets
Systematic investing in credit