Publisher
Edition
At
0
Finansal risk yönetimi çerçevesinde piyasa volatilitesinintahmini ve portföy var hesaplamaları /
ISBN: 9750600673
Anadolu Üniversitesi,
2001.
HG6024.A3 S48 2001
NEU Grand Library[General Collection]
Available
2
Finansal varlık fiyatlama modelleri ve arbitaj fiyatlama modelinin IMKB'de test edilmesi /
ISBN: 9758027778
İstanbul Menkul Kıymetler Borsası,
2000.
HG5706.5.A3 Y67 2000
NEU Grand Library[General Collection]
Available
0
Fixed-Income decision analysis :
using excel/VBA models /
ISBN: 9789756450208
İstanbul Stock Exchange,
2007.
HG4650 .K37 2007
NEU Grand Library[General Collection] (2)
Available
1
Foreign exchange exposure management :
a portfolio approach /
ISBN: 9028603093
Sijthoff & Noordhoff,
1979.
HG4027.5 .S65 1979
NEU Grand Library[General Collection]
Available
0
Fortune strategy :
portfolio management for the new economy /
ISBN: 0273639277
Financial Times Prentice Hall,
2001.
HG4521 .A24 2001
-
-
1
Global stock markets and portfolio management /
ISBN: 1403991553
Palgrave Macmillan,
2006.
HG4551 .G637 2006
NEU Grand Library[General Collection]
Available
4
Growing a fortune :
12 investment secrets to financial prosperity /
ISBN: 1570717745 (alk. paper)
Sourcebooks, Inc.
2002.
HG4521 .B4242 2002
NEU Grand Library[General Collection] (3)
Available
0
Investment analysis and portfolio management /
ISBN: 0256025010
R.D. Irwin,
1982.
HG4529 .C63 1982
University of Kyrenia Grand Library[University Of Kyrenia]
Available
0
Investment analysis and portfolio management /
ISBN: 0030970520
Dryden Press,
1994.
HG4521 .R396 1994
University of Kyrenia Grand Library[University Of Kyrenia]
Available
1
Investment management /
ISBN: \0852976135 (pbk.) :
Financial World Publishing,
c2001.
HG4529.5 .L63 2001
NEU Grand Library[General Collection]
Available