title | media type | ISBN-13 | year of publica- tion | other author(s) |
Commodity Trading Advisors: Risk, Performance Analysis, and Selection | Hardcover | 978-0-471-68194-6 | 2004 | Vassilios Karavas · François-Serge Lhabitant · Fabrice D. Rouah |
Corporate Governance and Regulatory Impact on Mergers and Acquisitions: Research and Analysis on Activity Worldwide Since 1990 | " | 978-0-12-374142-4 | 2007 | Luc Renneboog |
Credit Derivatives Handbook: Global Perspectives, Innovations, and Market Drivers | " | 978-0-07-154952-3 | 2008 | Paul U. Ali |
Emerging Markets: Performance, Analysis and Innovation | " | 978-1-4398-0448-3 | 2009 |
Encyclopedia of Alternative Investments | " | 978-1-4200-6488-9 | 2008 |
Evaluating Hedge Fund and CTA Performance: Data Envelopment Analysis Approach + CD-ROM | " | 978-0-471-68185-4 | 2005 | Joe Zhu |
Funds of Hedge Funds: Performance, Assessment, Diversification, and Statistical Properties | " | 978-0-7506-7984-8 | 2006 |
Handbook of Asian Finance | " | 978-0-12-801287-1 | 2014 | David LEE Kuo Chuen |
Handbook of Asian Finance: Financial Markets and Sovereign Wealth Funds | " | 978-0-12-800982-6 | 2014 | " |
Handbook of Asian Finance: REITs, Trading, and Fund Performance, Volume 2 | " | 978-0-12-800986-4 | 2014 | " |
Handbook of Frontier Markets: The African, European and Asian Evidence | " | 978-0-12-803776-8 | 2016 | Panagiotis Andrikopoulos · Vasileios Kallinterakis |
Handbook of High Frequency Trading | " | 978-0-12-802205-4 | 2015 |
Handbook of Investors' Behavior during Financial Crises | Paperback | 978-0-12-811252-6 | 2017 | Fotini Economou · Konstantinos Gavriilidis · Vasileios Kallinterakis |
Handbook of Short Selling | " | 978-0-12-810358-6 | 2018 |
Handbook of Short Selling | Hardcover | 978-0-12-387724-6 | 2011 |
Hedge Funds: Insights in Performance Measurement, Risk Analysis, and Portfolio Allocation | " | 978-0-471-73743-8 | 2005 | Georges Hübner · Nicolas Papageorgiou · Fabrice D. Rouah |
Initial Public Offerings : An International Perspective of IPOs | " | 978-0-7506-7975-6 | 2005 |
Insider Trading: Global Developments and Analysis | Paperback | 978-0-367-38699-3 | 2019 | Paul U. Ali |
Insider Trading: Global Developments and Analysis | Hardcover | 978-1-4200-7401-7 | 2008 | " |
International Corporate Governance After Sarbanes-Oxley | " | 978-0-471-77592-8 | 2006 | Paul Ali |
Operational Risk Toward Basel III: Best Practices and Issues in Modeling, Management, and Regulation | " | 978-0-470-39014-6 | 2009 |
Operational Risk Toward Basel III: Best Practices and Issues in Modeling, Management, and Regulation | | 978-0-470-45188-5 | 2009 |
Operational Risk Toward Basel III: Best Practices and Issues in Modeling, Management, and Regulation | | 978-0-470-45120-5 | |
Operational Risk Toward Basel III: Best Practices and Issues in Modeling, Management, and Regulation | | 978-0-470-45189-2 | |
Pension Fund Risk Management: Financial and Actuarial Modeling | Hardcover | 978-1-4398-1752-0 | 2010 | Marco Micocci · Giovanni Batista Masala |
Reconsidering Funds of Hedge Funds: The Financial Crisis and Best Practices in UCITS, Tail Risk, Performance, and Due Diligence | " | 978-0-12-401699-6 | 2013 |
Rethinking Valuation and Pricing Models: Lessons Learned from the Crisis and Future Challenges | " | 978-0-12-415875-7 | 2012 | Carsten Wehn · Christian Hoppe |
Stock Market Liquidity: Implications for Market Microstructure and Asset Pricing | " | 978-0-470-18169-0 | 2008 | François-Serge Lhabitant |
The Banking Crisis Handbook | " | 978-1-4398-1853-4 | 2009 |
The Handbook of Credit Portfolio Management | " | 978-0-07-159834-7 | 2008 | Christian Hoppe |
The Handbook of Trading: Strategies for Navigating and Profiting from Currency, Bond, and Stock Markets | " | 978-0-07-174353-2 | 2010 |
The Risk Modeling Evaluation Handbook: Rethinking Financial Risk Management Methodologies in the Global Capital Markets | " | 978-0-07-166370-0 | 2010 | Christian Hoppe · Carsten S. Wehn |
The VAR Implementation Handbook | " | 978-0-07-161513-6 | 2009 |
The VaR Modeling Handbook: Practical Applications in Alternative Investing, Banking, Insurance, and Portfolio Management | " | 978-0-07-162515-9 | 2009 |