title | media type | ISBN-13 | year of publica- tion | other author(s) |
Active Asset Allocation | Hardcover | 978-0-07-707576-7 | 1992 | Robert D. Arnott |
Active Asset Allocations: State-Of-The-Art Portfolio Policies, Strategies, And... | " | 978-1-55738-237-5 | 1992 | " |
Advanced Bond Portfolio Management | " | 978-0-471-67890-8 | 2005 | Lionel Martellini · Philippe Priaulet |
Advanced Bond Portfolio Management Chapter 6 Custom Reprint | Paperback | 978-0-470-05116-0 | 2006 | Lionel Martellini · Philippe Priaulet |
Advanced Stochastic Models, Risk Assessment, and Portfolio Optimization: The Ideal Risk, Uncertainty, and Performance Measures | Hardcover | 978-0-470-05316-4 | 2008 | Svetlozar T. Rachev · Stoyan V. Stoyanov |
Advances in Fixed Income Valuation Modeling and Risk Management | " | 978-1-883249-17-5 | 1997 |
Analysis of Financial Statements | " | 978-1-118-29998-2 | 2012 | Pamela Peterson Drake |
Analysis of Financial Statements | Paperback | 978-0-470-43873-2 | 2008 | Pamela P. Peterson |
Analysis of Financial Statements | Hardcover | 978-0-471-71964-9 | 2006 | " |
Applied Equity Valuation | " | 978-1-883249-51-9 | 1998 | T. Daniel Coggin |
Bank Loans: Secondary Market and Portfolio Management | " | 978-1-883249-44-1 | 1998 |
Bayesian Methods in Finance | " | 978-0-471-92083-0 | 2008 | Svetlozar T. Rachev · John S. J. Hsu · Biliana S. Bagasheva |
Bold Thinking on Investment Management: The FAJ 60th Anniversary Anthology | " | 978-1-932495-32-4 | 2005 | Keith Ambachtsheer · Robert D. Arnott · Clifford S. Asness · Peter L. Bernstein · John C. Bogle · Thomas A. Bowman · Gary P. Brinson · Abby Joseph Cohen · Aswath Damodaran · Jeffrey J. Diermeier · Charles D. Ellis · Richard M. Ennis · Don Ezra · David I. Fisher · Martin S. Fridson · Clive W.J. Granger · Richard C. Grinold · William H. Gross · J. Parker Hall III · Campbell Harvey · L. Randolph Hood · Marianne M. Jennings · Irving Kahn · Henry Kaufman · Dean LeBaron · Martin L. Leibowitz · Harry M. Markowitz · Paul A. McCulley · Edmund A. Mennis · John J. Nagorniak · Jeremy J. Siegel · Meir Statman · Jack L. Treynor |
Bond Markets Amir Special Edition | Paperback | 978-0-13-297160-7 | 1994 |
Bond Markets Analy& Psychology of Investg | Hardcover | 978-0-13-153001-0 | 2004 |
Bond Markets, Analysis, and Strategies | " | 978-0-13-379677-3 | 2015 |
Bond Markets, Analysis and Strategies | Paperback | 978-93-325-1828-5 | 2013 |
Bond Markets, Analysis and Strategies | Hardcover | 978-0-13-274354-9 | 2012 |
Bond Markets, Analysis, and Strategies | Paperback | 978-0-13-607897-5 | 2009 |
Bond Markets, Analysis and Strategies | Taschenbuch | 978-0-13-609974-1 | 2009 |
Bond Markets, Analysis and Strategies | " | 978-0-13-243626-7 | 2008 |
Bond Markets, Analysis and Strategies | Paperback | 978-0-13-198643-5 | 2006 |
Bond Markets, Analysis and Strategies | Taschenbuch | 978-0-13-127142-5 | 2004 |
Bond Markets, Analysis, and Strategies | Hardcover | 978-0-13-049782-6 | 2003 |
Bond Markets: Analysis and Strategies | " | 978-0-13-040266-0 | 1999 |
Bond Markets: Analysis and Strategies | Paperback | 978-0-13-086096-5 | 1999 |
Bond Markets: Analysis and Strategies | Hardcover | 978-0-13-339151-0 | 1995 |
Bond Markets, Analysis and Strategies | " | 978-0-13-087479-5 | 1993 |
Bond Markets, Analysis and Strategies | " | 978-0-13-079922-7 | 1989 |
Bond Markets, Analysis and Strategies Global Edition | Paperback | 978-0-273-76613-1 | 2012 |
Bond Portfolio Management, 2nd Edition | Hardcover | 978-1-883249-36-6 | 2001 |
Capital Markets: Institutions and Instruments | Paperback | 978-0-13-602602-0 | 2008 |
Capital Markets: Institutions and Instruments | Taschenbuch | 978-0-13-715499-9 | 2008 | Franco Modigliani |
Capital Markets: Institutions and Instruments | Hardcover | 978-0-13-009068-3 | 2003 |
Capital Markets: Institutions and Instruments | " | 978-0-13-067334-3 | 2002 | Franco Modigliani |
Capital Markets: Institutions and Instruments | " | 978-0-13-300187-7 | 1996 | " |
Capital Markets: Institutions and Instruments | Taschenbuch | 978-0-13-591116-7 | 1992 | " |
Capital Markets: Institutions and Instruments | Hardcover | 978-0-13-601436-2 | 1992 | " |
Capital Markets: Institutions and Instruments: International Edition | Taschenbuch | 978-0-13-045754-7 | 2002 | " |
Capital Markets: Institutions, Instruments, and Risk Management | Hardcover | 978-0-262-02948-3 | 2015 |
Collateralized Debt Obligations: Structures and Analysis, 2nd Edition | " | 978-0-471-71887-1 | 2006 | Douglas J. Lucas · Laurie S. Goodman |
Collateralized Debt Obligations: Structures and Analysis | " | 978-0-471-23486-9 | 2002 | Laurie S. Goodman |
Collateralized Mortgage Obligations: Structures and Analysis, 3rd Edition | " | 978-1-883249-62-5 | 1999 | Chuck Ramsey |
Corporate Bonds: Structure and Analysis | " | 978-1-883249-07-6 | 1995 | Richard C. Wilson |
Cost Accounting | Paperback | 978-0-07-112762-2 | 1991 | Ralph S. Polimeni · Arthur H. Adelberg |
Cost Accounting: Concepts and Applications for Managerial Decision Making, Set | Hardcover | 978-0-07-834990-4 | |
Credit Derivatives: Instruments, Applications, and Pricing | " | 978-0-471-46600-0 | 2004 | Mark J. P. Anson · Moorad Choudhry · Ren-Raw Chen |
Developments in Collateralized Debt Obligations: New Products and Insights | " | 978-0-470-13554-9 | 2007 | Douglas J. Lucas · Laurie S. Goodman · Rebecca Manning |
Duration, Convexity, and Other Bond Risk Measures | " | 978-1-883249-63-2 | 1999 |
Encyclopedia of Financial Models, 3 Volume Set | " | 978-1-118-00673-3 | 2012 |
Encyclopedia of Financial Models: v. 1 | " | 978-1-118-01032-7 | 2012 |
Encyclopedia of Financial Models: v. 2 | " | 978-1-118-01033-4 | 2012 |
Encyclopedia of Financial Models: v. 3 | " | 978-1-118-01034-1 | 2012 |
Entrepreneurial Finance and Accounting for High-Tech Companies | " | 978-0-262-03498-2 | 2016 |
Equipment Leasing, 4th Edition | " | 978-1-883249-66-3 | 2000 | Peter K. Nevitt |
Equity Valuation and Portfolio Management | " | 978-0-470-92991-9 | 2011 | Harry M. Markowitz |
Fat-Tailed and Skewed Asset Return Distributions: Implications for Risk Management, Portfolio Selection, and Option Pricing | " | 978-0-471-71886-4 | 2005 | Svetlozar T. Rachev · Christian Menn |
Finance: Capital Markets, Financial Management, and Investment Management | " | 978-0-470-40735-6 | 2009 | Pamela Peterson Drake |
Finance: Capital Markets, Financial Management, and Investment Management | | 978-0-470-48606-1 | |
Finance: Financial Markets, Business Finance, and Asset Management | | 978-0-470-48614-6 | 2009 | Pamela Peterson Drake |
Financial Advice and Investment Decisions: A Manifesto for Change | Hardcover | 978-0-470-64712-7 | 2013 | Jarrod W. Wilcox |
Financial Econometrics: From Basics to Advanced Modeling Techniques | " | 978-0-471-78450-0 | 2006 | Svetlozar T. Rachev · Stefan Mittnik · Sergio M. Focardi · Teo Jaić |
Financial Economics | " | 978-0-470-59620-3 | 2011 | Edwin H. Neave · Guofu Zhou |
Financial Management and Analysis | " | 978-0-471-23484-5 | 2003 | Pamela P. Peterson |
Financial Management and Analysis Workbook: Step-by-Step Exercises and Tests to Help You Master Financial Management and Analysis | Paperback | 978-0-471-47761-7 | 2004 | Pamela P. Peterson · Wendy D. Habegger |
Financial Modeling of the Equity Market: From CAPM to Cointegration | Hardcover | 978-0-471-69900-2 | 2006 | Sergio M. Focardi · Petter N. Kolm |
Financial Models with Levy Processes and Volatility Clustering | " | 978-0-470-48235-3 | 2011 | Svetlozar T. Rachev · Young Shin Kim · Michele L. Bianchi |
Fixed Income Analysis | Gebunden | 978-0-470-42755-2 | 2008 |
Fixed Income Analysis | Hardcover | 978-0-470-05221-1 | 2007 |
Fixed Income Analysis for the Chartered Financial Analyst Program | " | 978-1-931609-04-3 | 2004 |
Fixed Income Analysis for the Chartered Financial Analyst Program | " | 978-1-883249-83-0 | 2000 |
Fixed Income Analysis Workbook | Paperback | 978-0-470-06919-6 | 2007 |
Fixed Income Mathematics, 4E: Analytical & Statistical Techniques | Hardcover | 978-0-07-146073-6 | 2006 |
Fixed Income Mathematics | " | 978-0-7863-1121-7 | 1996 |
Fixed Income Mathematics: Analytical & Statistical Techniques | " | 978-1-55738-423-2 | 1993 |
Fixed Income Readings for the Chartered Financial Analyst Program | " | 978-1-931609-05-0 | 2004 |
Fixed Income Securities | " | 978-0-471-21830-2 | 2001 |
Floating-Rate Securities | " | 978-1-883249-65-6 | 2000 | Steven V. Mann |
Foundations and Applications of the Time Value of Money | " | 978-0-470-40736-3 | 2009 | Pamela Peterson Drake |
Foundations of Financial Markets and Institutions | " | 978-0-13-613531-9 | 2009 | Franco P. Modigliani · Frank J. Jones |
Foundations of Financial Markets and Institutions | Paperback | 978-0-13-018079-7 | 2001 | Franco G Modigliani · Frank J. Jones · Michael G. Ferri |
Foundations of Financial Markets and Institutions | Hardcover | 978-0-13-686056-3 | 1997 | Franco Modigliani · Michael G. Ferri |
Foundations of Financial Markets and Institutions | " | 978-0-13-328980-0 | 1994 | Franco Modigliani · Michael G. Ferri |
Foundations of Financial Markets and Institutions | Taschenbuch | 978-0-13-176827-7 | 1993 | Franco Modigliani · Michael Ferri |
Foundations of Financial Markets and Institutions: International Edition | " | 978-0-13-135423-4 | 2007 | Franco P. Modigliani · Frank J. Jones |
Foundations of Financial Markets and Institutions: International Edition | " | 978-0-13-122734-7 | 2003 | Franco Modigliani · Michael G. Ferri · Frank Jones |
Foundations of Global Financial Markets and Institutions | Hardcover | 978-0-262-03954-3 | 2019 | Frank J. Jones |
Foundations of Markets and Institutions: Study Guide | Paperback | 978-0-13-613536-4 | 2008 | Frank P Jones |
Fund Trustee Financial Handbook | Hardcover | 978-0-470-90110-6 | |
Handbook of Finance | Gedruckter Zugangscode | 978-0-470-40432-4 | 2008 |
Handbook of Finance, Financial Markets and Instruments | Hardcover | 978-0-470-07814-3 | 2008 |
Handbook of Finance, Financial Markets and Instruments | | 978-0-470-39107-5 | |
Handbook of Finance, Investment Management and Financial Management | Hardcover | 978-0-470-07815-0 | 2008 |
Handbook of Finance, Valuation, Financial Modeling, and Quantitative Tools | " | 978-0-470-07816-7 | 2008 |
Handbook of Heavy-Tailed Distributions in Asset Management and Risk Management | " | 978-981-327-491-4 | 2019 | Michele Leonardo Bianchi · Stoyan V Stoyanov · Gian Luca Tassinari · Sergio M Focardi |
Handbook of Inflation Indexed Bonds | " | 978-1-883249-48-9 | 1999 | John Brynjolfsson |
Handbook of Structured Financial Products | " | 978-1-883249-43-4 | 1998 |
Institutional Investment Management: Equity and Bond Portfolio Strategies and Applications | " | 978-0-470-40094-4 | 2009 |
Interest Rate, Term Structure, and Valuation Modeling | " | 978-0-471-22094-7 | 2002 |
Introduction to Fixed Income Analytics | " | 978-1-883249-94-6 | 2001 | Frank J. Fabozzi CFA · Steven V. Mann |
Introduction to Fixed Income Analytics: Relative Value Analysis, Risk Measures and Valuation | " | 978-0-470-57213-9 | 2010 | Steven V. Mann |
Introduction to Securitization | " | 978-0-470-37190-9 | 2008 | Vinod Kothari |
Introduction to Securitization | | 978-0-470-40328-0 | |
Introduction to Securitization | | 978-0-470-41957-1 | |
Introduction to Structured Finance | Hardcover | 978-0-470-04535-0 | 2006 | Henry A. Davis · Moorad Choudhry |
Investing in Collateralized Debt Obligations | " | 978-1-883249-90-8 | 2001 | Laurie S. Goodman |
Investing in Commercial Mortgage-Backed Securities | " | 978-1-883249-88-5 | 2000 |
Investment Management | " | 978-0-13-889155-8 | 1998 |
Investment Management | Paperback | 978-0-13-921016-7 | 1997 |
Investment Management | Hardcover | 978-0-13-074972-7 | 1994 | Frank J., Cfa Fabozzi |
Investment Management for Insurers | " | 978-1-883249-47-2 | 1999 | David F. Babbel |
Investment Management: Instructor's Manual with Solutions Manual | Paperback | 978-0-13-010286-7 | 1998 |
Investment Management: Instructor's Manual with Solutions Manual | " | 978-0-13-125253-0 | 1995 |
Japanese Bond Markets | Hardcover | 978-0-07-707361-9 | 1990 |
Leveraged Finance: Concepts, Methods, and Trading of High-Yield Bonds, Loans, and Derivatives | " | 978-0-470-50370-6 | 2009 | Stephen J. Antczak · Douglas J. Lucas |
Managing a Corporate Bond Portfolio | " | 978-0-471-21827-2 | 2001 | Leland E. Crabbe |
Mathematical Methods for Finance: Tools for Asset and Risk Management | " | 978-1-118-31263-6 | 2013 | Sergio M. Focardi · Turan G. Bali |
Measuring and Controlling Interest Rate and Credit Risk | " | 978-0-471-26806-2 | 2003 | Steven V. Mann · Moorad Choudhry |
Mortgage and Mortgage-Backed Securities Markets | " | 978-0-87584-322-3 | 1992 | Franco Modigliani |
Mortgage-Backed Securities: Products, Structuring, and Analytical Techniques | " | 978-1-118-00469-2 | 2011 | Anand K. Bhattacharya · William S. Berliner |
Mortgage-Backed Securities: Products, Structuring, and Analytical Techniques | " | 978-0-470-04773-6 | 2007 | Anand K. Bhattacharya · William S. Berliner |
Operational Risk: A Guide to Basel II Capital Requirements, Models, and Analysis | | 978-0-470-41054-7 | 2008 | Anna S. Chernobai · Svetlozar T. Rachev |
Operational Risk: A Guide to Basel II Capital Requirements, Models, and Analysis | Hardcover | 978-0-471-78051-9 | 2007 | Anna S. Chernobai · Svetlozar T. Rachev |
Pension Fund Investment Management, 2nd Edition | " | 978-1-883249-26-7 | 1997 |
Pension Fund Investment Management | " | 978-0-07-707364-0 | 1990 |
Perspectives on International Fixed Income Investing | " | 978-0-07-067696-1 | 1999 |
Perspectives on Investment Management of Public Pension Funds | " | 978-1-883249-56-4 | 1999 |
Portfolio Construction and Analytics | " | 978-1-118-44559-4 | 2016 | Dessislava A. Pachamanova |
Probability and Statistics for Finance | " | 978-0-470-40093-7 | 2010 | Svetlozar T. Rachev · Markus Hoechstoetter · Sergio M. Focardi |
Professional Perspectives on Fixed Income Portfolio Management, Volume 4 | " | 978-0-471-26805-5 | 2003 |
Quantitative Equity Investing: Techniques and Strategies | " | 978-0-470-26247-4 | 2010 | Sergio M. Focardi · Petter N. Kolm |
Robust Portfolio Optimization and Management | " | 978-0-471-92122-6 | 2007 | Petter N. Kolm · Dessislava Pachamanova · Sergio M. Focardi |
Rynki obligacji analiza i strategie | Gebunden | 978-83-87014-34-6 | 2000 |
Securities Finance: Securities Lending and Repurchase Agreements | Hardcover | 978-0-471-67891-5 | 2005 | Steven V. Mann |
Short Selling: Strategies, Risks, and Rewards | " | 978-0-471-66020-0 | 2004 | Cliff Asness |
Simulation and Optimization in Finance: Modeling with MATLAB, @Risk, or VBA | " | 978-0-470-37189-3 | 2010 | Dessislava A. Pachamanova |
Streetwise | " | 978-0-691-01129-5 | 1998 | Peter L. Bernstein |
Streetwise: The Best of the Journal of Portfolio Management | Paperback | 978-0-691-01128-8 | 1998 | " |
Structured Products and Related Credit Derivatives: A Comprehensive Guide for Investors | Hardcover | 978-0-470-12985-2 | 2008 | Brian P. Lancaster · Glenn M. Schultz |
Subprime Consumer Lending | " | 978-1-883249-78-6 | 1999 | Robert Paul Molay |
Subprime Mortgage Credit Derivatives | " | 978-0-470-24366-4 | 2008 | Laurie S. Goodman · Shumin Li · Douglas J. Lucas · Thomas A. Zimmerman |
The Basics of Finance: An Introduction to Financial Markets, Business Finance, and Portfolio Management | " | 978-0-470-60971-2 | 2010 | Pamela Peterson Drake |
The Basics of Financial Econometrics: Tools, Concepts, and Asset Management Applications | " | 978-1-118-57320-4 | 2014 | Sergio M. Focardi · Svetlozar T. Rachev · Bala G. Arshanapalli |
The Complete CFO Handbook: From Accounting to Accountability | " | 978-0-470-09926-1 | 2007 | Pamela Peterson Drake · Ralph S. Polimeni |
The Handbook of Asset/Liability Management: State-of-Art Investment Strategies, Risk Controls and Regulatory Required | " | 978-1-55738-800-1 | 1995 | Atuso Konishi |
The Handbook of Commercial Mortgage-Backed Securities, 2nd Edition | " | 978-1-883249-49-6 | 1998 | David P. Jacob |
The Handbook of European Fixed Income Securities | " | 978-0-471-43039-1 | 2003 | Moorad Choudhry |
The Handbook of European Structured Financial Products | " | 978-0-471-48415-8 | 2004 | " |
The Handbook of Financial Instruments | " | 978-0-471-22092-3 | 2002 |
The Handbook of Fixed Income Securities, 6th Edition | " | 978-0-07-135805-7 | 2000 |
The Handbook of Fixed Income Securities | " | 978-0-07-144099-8 | 2005 |
The Handbook of Fixed Income Securities | " | 978-0-7863-1095-1 | 1996 |
The Handbook of Fixed Income Securities | " | 978-0-7863-0001-3 | 1994 |
The Handbook of Fixed Income Securities | Paperback | 978-0-87094-306-5 | 1983 | Irving M. Pollack |
The Handbook of Fixed Income Securities, Eighth Edition | Hardcover | 978-0-07-176846-7 | 2012 | Steven V. Mann |
The Handbook of Mortgage-Backed Securities | " | 978-0-07-146074-3 | 2006 |
The Handbook of Mortgage Backed Securities | " | 978-0-07-135946-7 | 2001 |
The Handbook of Mortgage-Backed Securities | " | 978-0-917253-04-1 | 1985 |
The Handbook of Municipal Bonds | " | 978-0-470-10875-8 | 2008 | Sylvan G. Feldstein |
The Handbook of Nonagency Mortgage-Backed Securities, 2nd Edition | " | 978-1-883249-68-7 | 2000 | Chuck Ramsey · Michael Marz |
The Handbook of Traditional and Alternative Investment Vehicles: Investment Characteristics and Strategies | " | 978-0-470-60973-6 | 2010 | Mark J. P. Anson · Frank J. Jones |
The Mathematics of Financial Modeling and Investment Management | " | 978-0-471-46599-7 | 2004 | Sergio M. Focardi |
The Methods of Distances in the Theory of Probability and Statistics | Paperback | 978-1-4614-4869-3 | 2014 | Svetlozar T Rachev · Lev B Klebanov · Stoyan V Stoyanov |
The Theory and Practice of Investment Management | Hardcover | 978-0-471-22899-8 | 2002 | Harry M. Markowitz |
The Theory and Practice of Investment Management: Asset Allocation, Valuation, Portfolio Construction, and Strategies | " | 978-0-470-92990-2 | 2011 | " |
The Theory and Practice of Investment Management Workbook: Step-by-Step Exercises and Tests to Help You Master The Theory and Practice of Investment Management | Paperback | 978-0-471-48950-4 | 2004 | Harry M. Markowitz · Leonard Kostovetsky |
Treasury Securities and Derivatives | Hardcover | 978-1-883249-23-6 | 1997 |
Valuation of Fixed Income Securities and Derivatives, 3rd Edition | " | 978-1-883249-25-0 | 1998 |
Valuation of Interest Rate Swaps and Swaptions | " | 978-1-883249-89-2 | 2000 | Gerald W. Buetow · Frank J. Fabozzi CFA |
Value-Based Metrics: Foundations and Practice | " | 978-1-883249-76-2 | 2000 | James L. Grant |
Winning the Interest Rate Game: A Guide to Debt Options | " | 978-0-917253-01-0 | 1984 |
Zarzadzanie portfelem inwestycji finansowych przynoszacych staly dochod | Broschiert | 978-83-01-13195-1 | 2000 |
インフレ連動債ハンドブック infurerendousaihandobukku | 単行本 | 978-4-492-65330-2 | 2003 | ジョン ブリンヨルフソン · フランク・J. ファボリ · John Brynjolfsson · 米沢 康博 · 三井アセット信託銀行公的年金運用研究会 |