1. A Practitioner's guide to factor models.
پدیدآورنده :
کتابخانه: Center and Library of Islamic Studies in European Languages (Qom)
موضوع : Factor analysis.,Investment analysis.,Investments-- Mathematical models.,Portfolio management.,Risk-- Mathematical models.,Factor analysis.,Investment analysis.,Investments-- Mathematical models.,Portfolio management.,Risk-- Mathematical models.
رده :
HG4529
.
P73
1994
2. Alternative alternatives
پدیدآورنده : Sona Blessing
کتابخانه: Library of Faculty of Management of Tehran University (Tehran)
موضوع : Investments,Speculation,Risk,Portfolio management
3. Alternative Alternatives
پدیدآورنده : / Sona Blessing
کتابخانه: Library of Foreign Languages and Islamic Sources (Qom)
موضوع : Investments,Speculation,Risk,Portfolio management,سرمایه گذاری,احتکار,ریسک,اوراق بهادار
رده :
HG4521
.
B54
2011
4. Alternative alternatives
پدیدآورنده : / Sona Blessing
کتابخانه: Insurance Research Institute Library (Tehran)
موضوع : Investments,Speculation,Risk,Portfolio management
رده :
HG4521
.
B5A4
2011
5. Alternative alternatives: risk returns and investment strategy
پدیدآورنده : Sona Blessing
کتابخانه: Library of Faculty of Entrepreneurship University of Tehran (Tehran)
موضوع : Investments,Speculation,Risk,Portfolio management
رده :
HG
4521
.
B54
2011
6. Alternative alternatives risk returns and investment strategy
پدیدآورنده : Sona Blessing
کتابخانه: Central Library and Documentation Center of Shahid Motahari of Vali-e-Asr University (Kerman)
موضوع : Investments,Speculation,Risk,Portfolio management
رده :
HG
4521
.
B54
2011
7. CAIA level II
پدیدآورنده : Keith H. Black ... [et al.]
کتابخانه: Center and Library of Islamic Studies in European Languages (Qom)
موضوع : Asset allocation,Investment analysis,Investments,Investments-- Examinations, Study guides,Portfolio management,Risk management
رده :
HG4521
.
B53
2012
8. High-performance managed futures
پدیدآورنده : Mark H. Melin
کتابخانه: Library of Faculty of Management of Tehran University (Tehran)
موضوع : Portfolio management,Investments,Risk
9. High-performance managed futures :
پدیدآورنده : Mark H. Melin
کتابخانه: Center and Library of Islamic Studies in European Languages (Qom)
موضوع : Investments,Portfolio management,Risk
رده :
HG4529
.
5
.
M45
2010
10. Improving the investment process through risk management :
پدیدآورنده : Leo J. de Bever [and others].
کتابخانه: Center and Library of Islamic Studies in European Languages (Qom)
موضوع : Investments, Congresses.,Portfolio management, Congresses.,Risk management, Congresses.,Investments.,Portfolio management.,Risk management.
رده :
HG4529
.
5
.
R57
2003
11. Introduction to derivative financial instruments :
پدیدآورنده : Dimitris N. Chorafas.
کتابخانه: Center and Library of Islamic Studies in European Languages (Qom)
موضوع : Derivative securities.,Options (Finance),Portfolio management.,Risk management.,BUSINESS & ECONOMICS-- Investments & Securities-- General.,Derivative securities.,Options (Finance),Portfolio management.,Risk management.
رده :
HG6024
.
A3
12. Multi asset class investment strategy
پدیدآورنده : / Guy Fraser-Sampson
کتابخانه: Central Library and Documents Center of Mazandaran University (Mazandaran)
موضوع : Portfolio management,Investment analysis,Institutional investments,Risk,Investments
رده :
HG4529
.
5
.
F746
2006
13. Multi asset class investment strategy /
پدیدآورنده : Guy Fraser-Sampson.
کتابخانه: Center and Library of Islamic Studies in European Languages (Qom)
موضوع : Institutional investments.,Investment analysis.,Investments.,Portfolio management.,Risk.,BUSINESS & ECONOMICS-- Investments & Securities-- General.,Institutional investments.,Investment analysis.,Investments.,Portfolio management.,Risk.
رده :
HG4529
.
5
.
F746
2006eb
14. Optimal Portfolio Modeling
پدیدآورنده : / Philip J. McDonnell
کتابخانه: Insurance Research Institute Library (Tehran)
موضوع : Portfolio management,Risk management,Investments
رده :
HG4529
.
5
.
M3O6
2008
15. Optimal Portfolio Modeling:Models to Maximize Return and Control Risk in Excel and R+CD ROM
پدیدآورنده :
کتابخانه: Insurance Research Institute Library (Tehran)
موضوع : Portfolio management,Risk management,Investments
16. Optimal portfolio modeling: models to maximize return and control risk in Excel and R + CD-ROM
پدیدآورنده : Philip J. McDonnell
موضوع : Portfolio management,Risk management,Investments
۲ نسخه از این کتاب در ۲ کتابخانه موجود است.
17. Portfolio risk analysis /
پدیدآورنده : Gregory Connor, Lisa R. Goldberg, Robert A. Korajczyk.
کتابخانه: Center and Library of Islamic Studies in European Languages (Qom)
موضوع : Portfolio management.,Risk management.,BUSINESS & ECONOMICS-- Econometrics.,BUSINESS & ECONOMICS-- Investments & Securities-- General.,Portfolio management.,Risk management.
رده :
HG4529
.
5
.
C657
2010eb
18. Reading minds and markets :
پدیدآورنده : Jack Ablin ; with Suzanne McGee.
کتابخانه: Center and Library of Islamic Studies in European Languages (Qom)
موضوع : Investment analysis.,Investments.,Portfolio management.,Risk management.,Investment analysis.,Investment analysis.,Investments.,Kapitalanlage.,Portfolio management.,Portfolio management.,Portfolio-Management.,Risk management.
رده :
HG4529
.
5
.
A22
2009