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Market Risk Analysis, Volume I: Quantitative Methods in Finance
by
4.03 avg rating — 31 ratings
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published
2008
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11 editions
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Market Risk Analysis, Volume II: Practical Financial Econometrics
by
4.40 avg rating — 20 ratings
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published
2008
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8 editions
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Market Models: A Guide to Financial Data Analysis
by
3.71 avg rating — 21 ratings
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published
2001
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5 editions
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Market Risk Analysis, Volume III: Pricing, Hedging and Trading Financial Instruments (The Wiley Finance Series)
by
4.25 avg rating — 12 ratings
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published
2008
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6 editions
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Market Risk Analysis, Volume IV: Value at Risk Models
by
4.17 avg rating — 12 ratings
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published
2009
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11 editions
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The Professional risk Managers' Handbook: A Comprehensive Guide to Current Theory and Best Practices, Volumes 1-3
by
3.56 avg rating — 9 ratings
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published
2004
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3 editions
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Risk Management and Analysis, Volume 1: Measuring and Modelling Financial Risk (Wiley Series in Financial Engineering)
by
3.83 avg rating — 6 ratings
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published
1998
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2 editions
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Market Risk Analysis, Volumes I-IV
by
really liked it 4.00 avg rating — 5 ratings
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published
2009
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5 editions
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The Professional Risk Managers' Guide to Financial Markets (PRMIA Risk Management Series)
by
really liked it 4.00 avg rating — 3 ratings
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published
2007
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Risk Management and Analysis, Volume 2: New Markets and Products (Wiley Series in Financial Engineering)
by
really liked it 4.00 avg rating — 2 ratings
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published
1999
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3 editions
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Operational Risk: Regulation, Analysis and Management
by
really liked it 4.00 avg rating — 2 ratings
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published
2003
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4 editions
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The Professional Risk Managers' Guide to Financial Instruments
by
3.50 avg rating — 2 ratings
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The Professional Risk Managers' Handbook, Volume 2: Mathematical Foundations of Risk Measurements
by
liked it 3.00 avg rating — 2 ratings
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published
2006
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Corruption and Fraud in Financial Markets: Malpractice, Misconduct and Manipulation
by
it was amazing 5.00 avg rating — 1 rating
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3 editions
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Mastering Risk, Volume 2: Applications: Your Single-Source Guide to Becoming a Master of Risk
by
liked it 3.00 avg rating — 1 rating
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published
2001
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Econometric Modelling of Financial Instruments (Financial Economics and Quantitative Analysis Series)
by
0.00 avg rating — 0 ratings
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published
1997
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The Handbook of Risk Management and Analysis
by
0.00 avg rating — 0 ratings
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published
1996
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The Professional Risk Managers' Guide to Finance Theory and Application
by
0.00 avg rating — 0 ratings
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Are Nash bargaining wage agreements unique?: An investigation into bargaining sets for firm-union negotiations
by
0.00 avg rating — 0 ratings
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