FINANCIAL MANAGEMENT THEORY AND PRACTICE FOURTH EDITION
EUGENE F.BRIGHAM1984 年出版1128 页ISBN:
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EUGENE F.BRIGHAM2222 年出版1087 页ISBN:0030243998
RISK MANAGEMENT AND FINANCIAL INSTITUTIONS SECOND EDITION
JOHN C.HULL2010 年出版556 页ISBN:9780136102953
RISK MANAGEMENT AND FINANCIAL INSTITUTIONS THIRD EDITION
JOHN C.HULL2012 年出版643 页ISBN:1118269039
QUANTITATIVE FINANCIAL RISK MANAGEMENT THEORY AND PRACTICE
CONSTANTIN ZOPOUNIDIS EMILIOS GALARIOTIS2015 年出版428 页ISBN:1118738184
Theory of Financial Risk and Derivative Pricing:From Statistical Physics to Risk:Management SECOND
Jean-Philippe Bouchaud Marc Potters2008 年出版379 页ISBN:9787040239829
本书的英文版由剑桥出版社出版,其影印版由高等教育出版社影印出版发行。本书是用物理学的分析方法处理金融风险的书,它涉及到混沌、分形、厚尾分布等等一些金融风险领域的理论和方法。提出了不少问题,给出了一...
HANDBOOK ON PUBLIC BUDGETING AND FINANCIAL MANAGEMENT
JACK RABIN,THOMAS D.LYNCH2222 年出版623 页ISBN:
Budgets and Financial Management in Higher Education
Incorporated;John Wiley & Sons Australia2010 年出版0 页ISBN:
Mathematics and Statistics for Financial Risk Management
Incorporated;John Wiley & Sons Australia2012 年出版0 页ISBN:
ACCA PAPER F9 FINANCIAL MANAGEMENT
BPP Learning Media2010 年出版454 页ISBN:9787560959764
本教材讲解作为一名财务经理应当具备的素质,包括影响投资和融资的各种问题。包括:财务管理职能;财务管理环境;运营资本管理;投资评估;企业融资;资本成本;企业估价;风险管理。...