Ordenar por: Autor | Título | Año |
| 34 |
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Artículo |
The challenges for monetary policy in advanced economies after the great recession / Juan Carlos Berganza, Ignacio Hernando, Javier Vallés.
Berganza, Juan Carlos
En: Monetary policy after the great recession / edited by Javier Vallés. Madrid: Funcas, DL 2014; p. 135-179
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Fondos |
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| 35 |
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Libro |
Los desafíos para la política monetaria en las economías avanzadas tras la Gran Recesión [Recurso electrónico] / Juan Carlos Berganza, Ignacio Hernando y Javier Vallés.
Berganza, Juan Carlos
Madrid : Banco de España, 2014.
https://repositorio.bde.es/handle/123456789/6347
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| 36 | 978-1-118-90392-6 | Libro |
Valuation : the market approach / Seth Bernström.
Bernström, Seth
Chichester : Wiley, 2014.
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Fondos |
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| 37 | 978-1-78168-265-4 | Libro |
Making money : the philosophy of crisis capitalism / Ole Bjerg.
Bjerg, Ole
London : Verso, 2014.
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Fondos |
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| 38 | 978-84-460-3913-6 | Libro |
¿Y si el dinero creciera en los árboles? : las grandes preguntas de la economía.
Boyle, David (ed. lit.)
Madrid : Akal, 2014.
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Fondos |
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| 39 | 978-0-470-93291-9 | Libro |
Foreign exchange operations : master trading agreements, settlement, and collateral / David D. DeRosa.
DeRosa, David F.
Hoboken, New Jersey : John Wiley & Sons, 2014.cop.
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Fondos |
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| 40 | 978-1-137-37163-8 | Libro |
Models at work : a practitioner’s guide to risk management / Jawwad Ahmed Farid.
Farid, Jawwad Ahmed
London : Palgrave Mcmillan, cop. 2014.
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Fondos |
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| 41 |
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Artículo |
Firm’s financial soundness and access to capital markets [Recurso electrónico] / Alberto Fuertes and José María Serena.
Fuertes, Alberto
En: Estabilidad Financiera / Banco de España [Artículos], n. 27, noviembre 2014, p. 111-132
https://repositorio.bde.es/handle/123456789/11442
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| 42 | 978-1-269-59104-1 (v. 1) | Libro |
Financial Risk Manager. FRM Part I / [edited by] Global Association of Risk Professionals.
Boston : Pearson, 2014. |
Fondos |
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| 43 | 978-1-107-04300-8 | Libro |
Money as god? : the monetization of the market and the impact on religion, politics, law, and ethics / edited by Jurgen von Hagen and Michael Welker.
Hagen, Jürgen von (ed. lit.)
Cambridge : Cambridge University Press, 2014.
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Fondos |
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| 44 | 978-1-137-37465-3 | Libro |
Interest rate modelling in the multi-curve framework : foundations, evolution and implementation / Marc Henrard.
Henrard, Marc
Basingstoke : Palgrave Macmillan, cop. 2014.
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Fondos |
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| 45 | 978-1-118-51671-3 | Libro |
Profiting from market trends : simple tools and techniques for mastering trend analysis / Tina Logan.
Logan, Tina
Hoboken, New Jersey : John Wiley & Sons, cop. 2014.
|
Fondos |
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| 46 | 978-1-118-50837-4 | Libro |
Investing with the trend : a rules-based approach to money management / Gregory L. Morris.
Morris, Gregory L.
Hoboken : John Wiley & Sons, cop. 2014.
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Fondos |
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| 47 | 978-1-84893-425-2 | Libro |
Money as organization, Gustavo del Vecchio’s theory / Gianfranco Tusset.
Tusset, Gianfranco
London : Pickerring and Chatto, cop. 2014.
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Fondos |
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| 48 | 978-1-118-46514-1 | Libro |
Islamic capital markets : a comparative approach / Obiyathulla Ismath Bacha, Abbas Mirakhor.
Bacha, Obiyathulla Ismath
Singapore : John Wiley & Sons Singapore, cop. 2013.
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Fondos |
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| 49 | 978-1-256-93115-7 | Libro |
Financial Risk Manager. Part I / [edited by] Global Association of Risk Professionals.
Boston : Pearson, 2013. |
Fondos |
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| 50 | 978-1-107-02034-4 | Libro |
Law and practice of liability management : debt tender offers, exchange offers, bond buybacks and consent solicitations in international capital markets / Apostolos Ath. Gkoutzinis.
Gkoutzinis, Apostolos Ath.
Cambridge : Cambridge University Press, 2013.
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Fondos |
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| 51 | 978-0-8213-8927-0 | Libro |
The new microfinance handbook : a financial market system perspective / edited by Joanna Ledgerwood with Julie Earne and Candace Nelson.
Ledgerwook, Joanna (ed. lit.)
Washington : The World Bank, cop. 2013.
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Fondos |
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| 52 | 978-1-137-29385-5 | Libro |
OTC derivatives : bilateral trading & central clearing : an introduction to regulatory policy, market impact and systemic risk / David Murphy.
Murphy, David
Basingstoke, Hampshire : Palgrave Macmillan, 2013.
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Fondos |
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| 53 | 978-1-118-51345-3 | Libro |
Mathematics of the financial markets : financial instruments and derivatives modeling, valuation and risk issues / Alain Ruttiens.
Ruttiens, Alain
Chichester, West Sussex : John Wiley & Sons, 2013.
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Fondos |
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| 54 |
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Artículo |
Mercados financieros internacionales y financiación bancaria en la zona del euro : dinámica y participantes / Jaime Caruana, Adrian Van Rixtel.
Caruana Lacorte, Jaime
En: Economistas [Artículos], nº 133, dic. 2012, p. 6-20
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| 55 | 9781107014732 | Libro |
Interest rates, prices and liquidity : lessons from the financial crisis / edited by Jagjit S. Chadha and Sean Holly.
Chadha, Jagjit S. (ed. lit.)
Cambrdge : Cambridge University Press, 2012.
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Fondos |
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| 56 | 978-1-84980-390-8 | Libro |
Financial risk measurement and management / edited by Francis X. Diebold.
Diebold, Francis Xavier (ed. lit.)
Cheltenham : Edward Elgar, cop. 2012.
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Fondos |
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| 57 | 9780071768467 | Libro |
The handbook of fixed income securities / Frank J. Fabozzi, with the assistance of Steven V. Mann.
Fabozzi, Frank J.
New York : MacGraw-Hill, 2012.
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Fondos |
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| 58 | 978-14-61443-72-8 | Libro |
Rethinking regulatory structure / editors, Robert A. Schwartz, John Aidan Byrne.
Schwartz, Robert Alan (ed. lit.)
New York : Springer, 2012.
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Fondos |
2013 Banco de España, Madrid, España. Reservados todos los derechos
Basado en Ex Libris (© 2009 Ex Libris)