Financial Risk Man ...
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IFLR 1000: The Gui ...
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The Business of In ...
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Derivatives Handbook: Risk Management and Control
VAR: Understanding and Applying Value-at-Risk
Managing Credit Risk (Volume I) : Analysing, Rating and Pricing the Probability of Default
Managing Credit Risk (Volume II) : the Lessons of VaR Failures and Imprudent Exposure
An Introduction to credit risk modeling
Accounting for Derivatives:Deal, Accrual, Revaluation, Result
The Handbook of Financial Mathematics:VI:Mathematics for bond and money markets
The Handbook of Financial Mathematics V.II: Mathematics for derivatives
Convertible arbitrage:insights and techniques for successful hedging
The Basel handbook:a guide for financial practitioners
Setting limits for market risk : implementing the precommitment solution
Foreign exchange and money markets:Foreign Exchange
Innovations in Risk Management:Seminal Papers from the Journal of Risk
Foreign Exchange and Money Markets:Interest Rate Risk
Foreign Exchange and Money Markets:The Money Market
Swaps in Practice:The Products, Pricing and Applications
Stress Testing:Risk Management Strategies for Extreme Events
Interest Rate Swaps
Copulas:From theory to application in finance
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