title | ISBN-13 (ISBN-10) | year of publica- tion | other author(s) |
---|---|---|---|
Behavioral Investment Management: An Efficient Alternative to Modern Portfolio Theory | 978-0-07-174660-1 (0-07-174660-9) | 2012 | Greg B. Davies |
The Handbook of Structured Finance | 978-0-07-146864-0 (0-07-146864-1) | 2007 | Norbert Jobst |
The Standard & Poor's Guide to Measuring and Managing Credit Risk | 978-0-07-141755-6 (0-07-141755-9) | 2004 | Olivier Renault |
A. D. · A. De · A. S. · D S · de Servigny