Ordenar por: Autor | Título | Año |
| 73 | 0521855241 | Libro |
Managing economic volatility and crises : a practitioner’s guide / edited by Joshua Aizenman, Brian Pinto.
Aizenman, Joshua (ed. lit.)
[New York] : Cambridge University Press, [2005].
|
Fondos |
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| 74 |
|
Libro |
International portfolio diversification with generalized expected utility preferences / Joshua Aizenman
Aizenman, Joshua
Cambridge, Mass. : NBER. National Bureau of Economic Research, 1997
https://www.nber.org/papers/w5965
|
Fondos |
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| 75 |
|
Libro |
Defaultable security valuation and model risk / Aydin Akgun
Akgun, Aydin
Geneva : FAME. International Center for Financial Asset Management and Engineering, 2001
|
Fondos |
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| 76 |
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Libro |
Monetary policy effects on long-term interest rates : a critical survey of the empirical literature / by M.A. Akhtar
Akhtar, M.A.
New York : Federal Reserve Bank, 1994
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Fondos |
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| 77 | 9789004152465 | Libro |
Risk management in islamic finance : an analysis of derivatives instruments in commodity markets / by Muhammad al-Bashir Muhammad al-Amine.
Al-Amine, Muhammand al-Bashir Muhammad
Leiden : Brill, 2008.
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Fondos |
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| 78 | 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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| 79 |
|
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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| 80 |
|
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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| 81 | 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 |
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| 82 |
|
Artículo |
Prima de riesgo y volatilidad en el mercado de valores español / Jose-Tomas Alcala Nalvaiz, Alfredo Bachiller Cacho y Pilar Olave Rubio
Alcalá Nalvaiz, José Tomás
En: Revista de economía aplicada [Artículos], v. 1, n. 3, invierno 1993, p. 95-117
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| 83 | 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 |
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| 84 | 9780470563762 | Libro |
High-frequency trading : a practical guide to algorithmic strategies and trading systems / Irene Aldridge.
Aldridge, Irene
Hoboken : John Wiley & Sons, 2010.
|
Fondos |
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| 85 |
|
Artículo |
Default risk / Alberto Alesina... (et al.)
Alesina, Alberto F. (1957-2020)
En: Economic policy [Artículos], n. 15, october 1992, p. 427-463
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| 86 | 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 |
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| 87 | 9780470998007 (v.1) | Libro |
Market risk analysis / Carol Alexander.
Alexander, Carol
Chichester : John Wiley & Sons, 2008.
|
Fondos |
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| 88 |
|
Artículo |
Principal component models for generating large GARCH covariance matrices / Carol Alexander
Alexander, Carol
En: Economic notes / Banca Monte dei Paschi di Siena [Artículos], v. 31, n. 2, july 2002, p. 337-358
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| 89 | 0471899755 | Libro |
Market models : a guide to financial data analysis / Carol Alexander
Alexander, Carol
Chichester (etc.) : John Wiley and Sons, 2001
|
Fondos |
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| 90 | 0471979597 | Libro |
Risk management and analysis / edited by Carol Alexander
Alexander, Carol
Chichester (etc.) : John Wiley and Sons, 1999
|
Fondos |
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| 91 | 0471979570 | Libro |
Risk management and analysis / edited by Carol Alexander
Alexander, Carol
Chichester (etc.) : John Wiley and Sons, 1999
|
Fondos |
|
| 92 | 0471953091 | Libro |
The handbook of risk management and analysis / edited by Carol Alexander
Alexander, Carol
Chichester (etc.) : John Wiley and Sons, 1996
|
Fondos |
|
| 93 | 9702603757 | Libro |
Fundamentos de inversiones : teoría y práctica / Gordon J. Alexander, Willian F. Sharpe, Jeffery V. Bailey
Alexander, Gordon J.
Mexico [etc.] : Pearson Educación, 2003
|
Fondos |
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| 94 |
|
Artículo |
Economic implications of using a mean-VAR model for portfolio selection : a comparison with mean-variance analysis / Gordon J. Alexander, Alexandre M. Baptista
Alexander, Gordon J.
En: Journal of economic dynamics and control [Artículos], v. 26, n. 7-8, jul 2002, p. 1159-1193
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| 95 |
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Artículo |
A graphical note on European put thetas / Gordon J. Alexander, Michael Stutzer
Alexander, Gordon J.
En: Journal of futures markets [Artículos], v. 16, n. 2, apr 1996, p. 201-209
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| 96 | 0133354490 | Libro |
Fundamentals of investments / Gordon J. Alexander, William F. Sharpe, Jeffery V. Bailey
Alexander, Gordon J.
Englewood Cliffs, New Jersey : Prentice Hall, 1993
|
Fondos |
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| 97 |
|
Artículo |
Fiscal discipline and the question of convergence of national interest rates in the European Union / Volbert Alexander, Peter Anker
Alexander, Volbert
En: Open economies review [Artículos], v. 8. n. 4, oct 1997, p. 335-352
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