Сбор средств 15 Сентября 2024 – 1 Октября 2024 О сборе средств
1
How to Invest : Navigating the Brave New World of Personal Finance

How to Invest : Navigating the Brave New World of Personal Finance

Год:
2023
Язык:
english
Файл:
EPUB, 2.87 MB
0 / 5.0
english, 2023
2
Market Momentum: Theory and Practice

Market Momentum: Theory and Practice

Год:
2020
Язык:
english
Файл:
PDF, 7.50 MB
0 / 0
english, 2020
3
Asymmetric dependence in finance : diversification, correlation and portfolio management in market downturns

Asymmetric dependence in finance : diversification, correlation and portfolio management in market downturns

Год:
2018
Язык:
english
Файл:
PDF, 6.77 MB
0 / 0
english, 2018
4
The Analytics of Risk Model Validation

The Analytics of Risk Model Validation

Год:
2008
Язык:
english
Файл:
PDF, 2.14 MB
0 / 0
english, 2008
5
Forecasting Expected Returns in the Financial Markets (Quantitative Finance)

Forecasting Expected Returns in the Financial Markets (Quantitative Finance)

Год:
2007
Язык:
english
Файл:
PDF, 3.67 MB
0 / 0
english, 2007
6
Market Momentum: Theory and Practice

Market Momentum: Theory and Practice

Год:
2020
Язык:
english
Файл:
EPUB, 25.32 MB
0 / 0
english, 2020
7
Forecasting Volatility in the Financial Markets, Second Edition (Quantitative Finance)

Forecasting Volatility in the Financial Markets, Second Edition (Quantitative Finance)

Год:
2002
Язык:
english
Файл:
PDF, 9.22 MB
0 / 0
english, 2002
8
Forecasting Expected Returns in the Financial Markets

Forecasting Expected Returns in the Financial Markets

Год:
2007
Язык:
english
Файл:
PDF, 2.23 MB
0 / 0
english, 2007
9
The Analytics of Risk Model Validation.

The Analytics of Risk Model Validation.

Год:
2007
Язык:
english
Файл:
PDF, 2.00 MB
0 / 0
english, 2007
10
Market Momentum

Market Momentum

Год:
2020
Язык:
english
Файл:
EPUB, 25.32 MB
0 / 4.0
english, 2020
11
Linux IP协议栈源代码分析

Linux IP协议栈源代码分析

Год:
2000
Язык:
chinese
Файл:
PDF, 30.26 MB
0 / 5.0
chinese, 2000
12
Performance Measurement in Finance. Firms, Funds and Managers

Performance Measurement in Finance. Firms, Funds and Managers

Год:
2002
Язык:
english
Файл:
PDF, 2.80 MB
0 / 0
english, 2002
13
Forecasting Expected Returns in the Financial Markets

Forecasting Expected Returns in the Financial Markets

Год:
2007
Язык:
english
Файл:
PDF, 3.66 MB
0 / 0
english, 2007
14
Market Momentum: Theory and Practice (The Wiley Finance Series)

Market Momentum: Theory and Practice (The Wiley Finance Series)

Год:
2020
Язык:
english
Файл:
PDF, 7.50 MB
0 / 0
english, 2020
15
Return Distributions in Finance (Quantitative Finance) (Quantitative Finance)

Return Distributions in Finance (Quantitative Finance) (Quantitative Finance)

Год:
2001
Язык:
english
Файл:
PDF, 3.61 MB
0 / 0
english, 2001
16
Forecasting volatility in the financial markets

Forecasting volatility in the financial markets

Год:
2002
Язык:
english
Файл:
PDF, 3.24 MB
0 / 0
english, 2002
17
Forecasting Expected Returns in the Financial Markets

Forecasting Expected Returns in the Financial Markets

Год:
2007
Язык:
english
Файл:
PDF, 5.17 MB
0 / 0
english, 2007
18
Return distributions in finance

Return distributions in finance

Год:
2001
Язык:
english
Файл:
PDF, 2.65 MB
0 / 0
english, 2001
19
Forecasting Volatility in the Financial Markets, 2nd Edition

Forecasting Volatility in the Financial Markets, 2nd Edition

Год:
2002
Язык:
english
Файл:
PDF, 2.05 MB
0 / 0
english, 2002
20
Forecasting Volatility in the Financial Markets, Second Edition (Quantitative Finance)

Forecasting Volatility in the Financial Markets, Second Edition (Quantitative Finance)

Год:
2002
Язык:
english
Файл:
PDF, 2.15 MB
0 / 0
english, 2002
21
Forecasting Expected Returns in the Financial Markets

Forecasting Expected Returns in the Financial Markets

Год:
2007
Язык:
english
Файл:
PDF, 4.83 MB
0 / 0
english, 2007
22
Performance Measurement in Finance

Performance Measurement in Finance

Год:
2002
Язык:
english
Файл:
PDF, 2.27 MB
0 / 0
english, 2002
23
The Economist guide to investment strategy: how to understand markets, risk, rewards and behaviour

The Economist guide to investment strategy: how to understand markets, risk, rewards and behaviour

Год:
2018
Язык:
english
Файл:
EPUB, 10.96 MB
0 / 0
english, 2018
24
Advanced Trading Rules

Advanced Trading Rules

Год:
2002
Язык:
english
Файл:
PDF, 5.76 MB
0 / 0
english, 2002
25
Forecasting Volatility in the Financial Markets, Third Edition (Quantitative Finance)

Forecasting Volatility in the Financial Markets, Third Edition (Quantitative Finance)

Год:
2007
Язык:
english
Файл:
PDF, 3.92 MB
0 / 0
english, 2007
26
Optimizing Optimization: The Next Generation of Optimization Applications and Theory

Optimizing Optimization: The Next Generation of Optimization Applications and Theory

Год:
2009
Язык:
english
Файл:
PDF, 7.06 MB
0 / 0
english, 2009
27
Managing downside risk in financial markets

Managing downside risk in financial markets

Год:
2001
Язык:
english
Файл:
PDF, 1.22 MB
0 / 0
english, 2001
28
Linear factor models in finance

Linear factor models in finance

Год:
2005
Язык:
english
Файл:
PDF, 1.42 MB
0 / 0
english, 2005
29
Derivatives and Hedge Funds

Derivatives and Hedge Funds

Год:
2016
Язык:
english
Файл:
PDF, 1.99 MB
0 / 0
english, 2016
30
Collectible Investments for the High Net Worth Investor (Quantitative Finance)

Collectible Investments for the High Net Worth Investor (Quantitative Finance)

Год:
2009
Язык:
english
Файл:
PDF, 2.90 MB
0 / 0
english, 2009
31
Asset Management: Portfolio Construction, Performance and Returns

Asset Management: Portfolio Construction, Performance and Returns

Год:
2016
Язык:
english
Файл:
PDF, 1.16 MB
0 / 0
english, 2016
32
Advances in Portfolio Construction and Implementation

Advances in Portfolio Construction and Implementation

Год:
2003
Язык:
english
Файл:
PDF, 1.69 MB
0 / 0
english, 2003
33
Guide to Investment Strategy

Guide to Investment Strategy

Год:
2018
Язык:
english
Файл:
EPUB, 10.62 MB
0 / 5.0
english, 2018
34
Linear Factor Models in Finance (Quantitative Finance)

Linear Factor Models in Finance (Quantitative Finance)

Год:
2005
Язык:
english
Файл:
PDF, 1.63 MB
0 / 0
english, 2005
35
Performance Measurement in Finance

Performance Measurement in Finance

Год:
2002
Язык:
english
Файл:
PDF, 2.26 MB
0 / 0
english, 2002
36
The Economist Guide to Investment Strategy, 4th Edition : How to Understand Markets, Risk, Rewards and Behaviour

The Economist Guide to Investment Strategy, 4th Edition : How to Understand Markets, Risk, Rewards and Behaviour

Год:
2018
Язык:
english
Файл:
MOBI , 16.96 MB
0 / 4.0
english, 2018
37
Return Distributions in Finance (Quantitative Finance)

Return Distributions in Finance (Quantitative Finance)

Год:
2001
Язык:
english
Файл:
PDF, 2.75 MB
0 / 0
english, 2001
38
Managing Downside Risk in Financial Markets. Theory, Practice and Implementation

Managing Downside Risk in Financial Markets. Theory, Practice and Implementation

Год:
2001
Язык:
english
Файл:
PDF, 2.31 MB
0 / 0
english, 2001
39
Advances in Portfolio Construction and Implementation (Quantitative Finance)

Advances in Portfolio Construction and Implementation (Quantitative Finance)

Год:
2003
Язык:
english
Файл:
PDF, 2.14 MB
0 / 0
english, 2003
40
ADVANCED TRADING RULES

ADVANCED TRADING RULES

Год:
2002
Язык:
english
Файл:
DJVU, 3.69 MB
0 / 0
english, 2002
41
Forecasting Volatility in the Financial Markets, Third Edition

Forecasting Volatility in the Financial Markets, Third Edition

Год:
2007
Язык:
english
Файл:
PDF, 3.09 MB
0 / 0
english, 2007
42
Performance Measurement in Finance

Performance Measurement in Finance

Год:
2002
Язык:
english
Файл:
PDF, 2.20 MB
0 / 0
english, 2002
43
Forecasting Volatility in the Financial Markets (Quantitative Finance)

Forecasting Volatility in the Financial Markets (Quantitative Finance)

Год:
2007
Язык:
english
Файл:
PDF, 9.65 MB
0 / 0
english, 2007