Governing risk the imf and global financial crises
2010 年出版212 页ISBN:0230236871
A PROBABILITY METRICS APPROACH TO FINANCIAL RISK MEASURES
2010 年出版375 页ISBN:9781405183697
QUANTITATIVE FINANCIAL ECONOMICS STOCKS BONDS AND FOREIGN EXCHANGE
1995 年出版470 页ISBN:0471953601
PERSONAL INVESTMENT:FINANCIAL PLANNING IN AN UNCERTAIN WORLD
2010 年出版448 页ISBN:9780230246607
SINGAPORE AND HONG KONG AS COMPETING FINANCIAL CENTRES
2007 年出版111 页ISBN:9789810593629
FINANCIAL INSTITUTIONS MANAGEMENT A MODERN PERSPECTIVE SECOND EDITION
1997 年出版667 页ISBN:0256153671
UNDERSTANDING THE FINANCIAL CRISIS:INVESTMENT RISK AND GOVERNANCE
2009 年出版229 页ISBN:9788799315109
BUSINESS ANALYSIS & VALUATION USING FINANCIAL STATEMENTS SECOND EDITION
2000 年出版1090 页ISBN:0324015658