AN INTRODUCTION TO DERIVATIVES AND RISK MANAGEMENT FIFTH EDITION
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INTERNATIONAL CONFERENCE AND WORKSHOP ON RELIABILTY AND RISK MANAGEMENT
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Learning to fail : case studies of students at risk
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FINANCIAL SERVICES ANTI-FRAUD RISK AND CONTROL WORKBOOK
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CREDIT RISK MODELING USING EXCEL AND VBA WITH DVD
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CREDIT DERIVATIVES TRADING INVESTING AND RISK MANAGMENT SECOND EDITION
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Linear Mathematical Models in Chemical Engineering
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New Economics of Risk and Uncertainty:Theory and Applications
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投资学 从战略管理到项目优化组合 from strategy management to the optimal combination of projects
赵国杰,翟欣翔,李响著2006 年出版212 页ISBN:7561822243
本书阐释了投资学的基本原理、基本构架和基本方法。其特点是(1)把战略、战略分析纳入投资学体系之中;(2)突出了技术选择与评价,强调基于可持续发展观的技术评价和技术对环境的影响评价;(3)重视投资风险分析,......