Ordenar por: Autor | Título | Año |
| 51 | 978-3-031-71503-7 (En línea) | Libro |
Liquidity dynamics and risk modeling [Recurso electrónico] : navigating trading and investment portfolios frontiers with machine learning algorithms / Mazin A. M. Al Janabi.
Al Janabi, Mazin A. M
Cham : Palgrave Macmillan, 2024.
https://doi.org/10.1007/978-3-031-71503-7
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|
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| 52 | 978-3-319-33991-7 (en línea) | Libro |
Islamic capital markets [Recurso electrónico] : volatility, performance and stability / edited by Nafis Alam, Syed Aun R. Rizvi.
Alam, Nafis. (ed. lit.)
Cham : Springer International Publishing, 2016.
http://dx.doi.org/10.1007/978-3-319-33991-7
|
|
|
| 53 |
|
Libro |
El mercado de capitales / Armando de las Alas Pumariño.
Alas-Pumariño Cima, Armando de las
[S.l. : s.n., 1952].
|
Fondos |
|
| 54 | 978-956-7421-52-7 (libro impreso) | Libro |
Monetary policy through asset markets : lessons from unconventional measures and implications for an integrated world / Elías Albagli, Diego Saravia, Michael Woodford, editors.
Albagli, Elías (editor literario)
Santiago de Chile : Banco Central de Chile, cop. 2016.
https://www.bcentral.cl/documents/33528/133315/bcch_archivo_170172_es.pdf/2128bb19-bbe7-c0eb-ce4a-9ef7a9f63170?t=1573270701203
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Fondos |
|
| 55 | 0120476827 | Libro |
Advanced derivatives pricing and risk management : theory, tools and hand-on programming application / Claudio Albanese and Giuseppe Capolieti.
Albanese, Claudio
Burlington : Elsevier, 2006.
|
Fondos |
|
| 56 |
|
Artículo |
Fiscal policy and the cycle in Latin America [Recurso electrónico] : the role of financing conditions and fiscal rules / Enrique Alberola, Iván Kataryniuk, Ángel Melguizo, René Orozco.
Alberola, Enrique
En: Ensayos sobre Política Económica [Artículos], v. 36, n. 85, ed. especial de 2018, p. 101-116
http://www.banrep.gov.co/en/en/fiscal-policy-and-cycle-latin-america-role-financing-conditions-and-fiscal-rules
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| 57 |
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Libro |
Fiscal policy and the cycle in Latin America [Recurso electrónico] : the role of financing conditions and fiscal rules / Enrique Alberola, Iván Kataryniuk, Ángel Melguizo and René Orozco.
Alberola, Enrique
Madrid : Banco de España, 2016.
https://repositorio.bde.es/handle/123456789/7219
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|
|
| 58 |
|
Artículo |
Boom-bust cycles, imbalances and discipline in Europe / Enrique Alberola, Luis Molina, Pedro del Río.
Alberola, Enrique
En: Moneda y Crédito [Artículos], n. 234, 2012, p. 169-205
|
Fondos |
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| 59 |
|
Libro |
Boom-bust cycles, imbalances and discipline in Europe [Recurso electrónico] : dynamics during financial stress / Enrique Alberola, Luis Molina and Pedro del Río.
Alberola, Enrique
Madrid : Banco de España, 2012.
https://repositorio.bde.es/handle/123456789/7108
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| 60 | 9788482356259 | Libro |
Guía fiscalidad de las operaciones financieras / autores Amparo Alberruche Herráiz ... [et al.].
Alberruche Herráiz, Amparo
Valencia : CISS, 2008.
|
Fondos |
|
| 61 | 978-3-0348-0518-6 | Libro |
Introduction to quantitative methods for financial markets / Hansjoerg Albrecher, Andreas Binder, Volkmar Lautscham, Philipp Mayer.
Albrecher, Hansjoerg
Basel : Springer, cop. 2013.
|
Fondos |
|
| 62 | 978-1-119-28901-2 | Libro |
Asymmetric dependence in finance : diversification, correlation and portfolio management in market downturns / edited by Jamie Alcock, Stephen Satchell.
Alcock, Jamie (ed. lit.)
Chichester, West Sussex : Wiley, 2018.
|
Fondos |
|
| 63 | 8484065073 | Libro |
Competencia y estrategias de competitividad en los mercados financieros / autores Julio Alcantara Lera ... (et al.)
Alcántara Lera, Julio
Valladolid : Lex Nova, 2003
|
Fondos |
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| 64 | 978-84-16383-36-8 | Libro |
Dirección financiera : un enfoque práctico de la gestión de carteras / José Luis Coca Pérez, Antonio Fernández Portillo, Jessica Paule Vianez (coordinadores); Antonio Alcázar Banco...[et al.].
Alcázar Blanco, Antonio
[Madrid] : Delta Publicaciones, 2021.
|
Fondos |
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| 65 | 978-1-119-60298-9 | Libro |
Big Data science in Finance. / by Irene Aldridge, Marco Avellaneda.
Aldridge, Irene
Hoboken, New Jersey : Wiley, cop., 2021.
|
Fondos |
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| 66 | 978-1-119-31896-5 | Libro |
Real-time risk : what investors should know about FinTech, high-frequency trading, and flash crashes / Irene Aldridge and Steve Krawciw.
Aldridge, Irene
Hoboken, New Jersey : Wiley, cop. 2017.
|
Fondos |
|
| 67 | 9780470563762 | Libro |
High-frequency trading : a practical guide to algorithmic strategies and trading systems / Irene Aldridge.
Aldridge, Irene
Hoboken : John Wiley & Sons, 2010.
|
Fondos |
|
| 68 | 1855645858 | Libro |
The Russian market in government securities / general editor M.U. Alekseyev ; translated by Y.V. Plechko.
Alekseyev, M.U. (ed. lit.)
London : Euromoney, 1997.
|
Fondos |
|
| 69 | 978-1-138-93674-4 | Libro |
Value making in international economic law and regulation : alternative possibillities / Donatella Alessandrini.
Alessandrini, Donatella
Abingdon, Oxon : Routledge, 2016.
|
Fondos |
|
| 70 | 8430802673 | Libro |
Las bolsas de valores en el mundo / U. Aletti ... [et al.] ; presentación de la edición española por Pedro Rodríguez-Ponga y Ruiz de Salazar ; introducción de O. Moreau-Neret.
Aletti, U.
Madrid : Tecniban, 1976.
|
Fondos |
|
| 71 | 2040075143 | Libro |
Les bourses de valeurs dans le monde / U. Aletti ... [et al.] ; avant-propos de O. Moreau-Neret.
Aletti, U.
Paris : Dunod, 1975.
|
Fondos |
|
| 72 | 9780470998007 (v.1) | Libro |
Market risk analysis / Carol Alexander.
Alexander, Carol
Chichester : John Wiley & Sons, 2008.
|
Fondos |
|
| 73 | 9780071546478 | Libro |
The professional risk managers’ guide to finance theory application / edited by Carol Alexander and Elizabeth Sheedy.
Alexander, Carol (ed. lit.)
New York : MacGraw-Hill, 2008.
|
Fondos |
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| 74 | 9780071546492 | Libro |
The professional risk managers’ guide to financial instruments / edited by Carol Alexander and Elizabeth Sheedy.
Alexander, Carol (ed. lit.)
New York : McGraw-Hill, 2008.
|
Fondos |
|
| 75 | 9780071546485 | Libro |
The professional risk managers’ guide to financial markets / edited by Carol Alexander and Elizabeth Sheedy.
Alexander, Carol (ed. lit.)
New York : McGraw-Hill, 2008.
|
Fondos |
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