図書

An Institutional investor publication

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An Institutional investor publication

Material type
図書
Author
-
Publisher
Probus Pub. Co
Publication date
-
Material Format
Paper
Capacity, size, etc.
-
NDC
-
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Related materials as well as pre- and post-revision versions

Active asset allocation : state-of-the-art portfolio policies, strategies & tacticsLeave the NDL website. Real estate portfolio management : analysis & evaluation for fund managers, sponsors and consultantsLeave the NDL website. Managed futures : performance, evaluation and analysis of commodity funds, pools and accountsLeave the NDL website. Options hedging & arbitrageLeave the NDL website. Simulation, optimization and expert systemsLeave the NDL website. Eurodollar futures and options : controlling money market riskLeave the NDL website. Active asset allocation : state-of-the-art portfolio policies, strategies & tacticsLeave the NDL website. Financial futures and options : managing risk in the interest rate, currency and equity marketsLeave the NDL website. Strategic risk management : how global corporations manage financial risk for competitive advantageLeave the NDL website. Investing : the collected works of Martin L. LeibowitzLeave the NDL website. Eurodollar futures and options : controlling money market riskLeave the NDL website. Options on foreign exchangeLeave the NDL website. Invest Japan : the structure, performance and opportunities of Japan's stock, bond and fund marketsLeave the NDL website. The trading and securitization of senior bank loansLeave the NDL website. The globalization of money and securities : the new products, players and marketsLeave the NDL website. Asset/liability management : investment strategies, liquidity requirements, and risk controls for banks and thriftsLeave the NDL website. Dictionary of financial risk managementLeave the NDL website.

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Table of Contents

  • Active asset allocation : state-of-the-art portfolio policies, strategies & tactics

  • Real estate portfolio management : analysis & evaluation for fund managers, sponsors and consultants

  • Managed futures : performance, evaluation and analysis of commodity funds, pools and accounts

  • Options hedging & arbitrage

  • Simulation, optimization and expert systems

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Paper

Material Type
図書
Publication, Distribution, etc.
Place of Publication (Country Code)
us
Target Audience
一般
Related Material
Active asset allocation : state-of-the-art portfolio policies, strategies & tactics
Real estate portfolio management : analysis & evaluation for fund managers, sponsors and consultants
Managed futures : performance, evaluation and analysis of commodity funds, pools and accounts
Options hedging & arbitrage
Simulation, optimization and expert systems
Eurodollar futures and options : controlling money market risk
Active asset allocation : state-of-the-art portfolio policies, strategies & tactics
Financial futures and options : managing risk in the interest rate, currency and equity markets
Strategic risk management : how global corporations manage financial risk for competitive advantage
Investing : the collected works of Martin L. Leibowitz
Eurodollar futures and options : controlling money market risk
Options on foreign exchange
Invest Japan : the structure, performance and opportunities of Japan's stock, bond and fund markets
The trading and securitization of senior bank loans
The globalization of money and securities : the new products, players and markets
Asset/liability management : investment strategies, liquidity requirements, and risk controls for banks and thrifts
Dictionary of financial risk management
Data Provider (Database)
国立情報学研究所 : CiNii Research
Original Data Provider (Database)
CiNii Books
NCID
https://ci.nii.ac.jp/ncid/BA13339684 : BA13339684