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VAR: Understanding and Applying Value-at-Risk
判讀金融指標
Managing Financial Risk:A Guide to Derivative Products, financial Engineering, and Value Maximization
The Euromoney Derivatives & Risk Management Handbook 2001/02
Risk Management in Banking (Second Edition)
Financial Engineering:Derivatives and risk management
Options,Futures,and Other Derivatives
Extremes and Integrated Risk Management
Managing Operational Risk:risk reduction strategies for investment and commercial banks
The New Interest Rate Models
Foreign Exchange Risk:models, instruments and strategies
Alternative Risk Strategies
債信評等
Equity Derivatives and Market Risk Models
全球經濟展望:2002年:從不景氣中再現繁榮
Credit : The Complete Guide to Pricing, Hedging and Risk Management
信託法制與實務
Operational Risk:the New Challenge for Banks
Credit Risk Measurement:New Approaches to Value at Risk and Other Paradigms
發展台灣成為金融及資產管理中心:背景、展望、建議 摘譯