An International Comparison of Financial Consumer Protection
Tsai-Jyh Chen, editor
Springer, 2018
 Buku Teks
Contemporary issues in bank financial management
edited by Simon Grima, Frank Bezzina
Emerald, 2016
 eBooks
Miller, Michael B., author
Mathematics and statistics for financial risk managment
Wiley, 2014
 Buku Teks
Melani Salmadini, author
Evaluasi perbandingan value at risk harga saham dengan menggunakan metode variance covariance dan historical simulation terhadap ketentuan faktor risiko saham dalam penentuan batas tingkat solvabilitas minimum perusahaan asuransi (studi kasus pada PT Asuransi Jiwa XYZ) = Comparison evaluation of value at risk using variance covariance methodology and historical simulation methodology toward the simulation of share risk factor in determining minimum solvability rate limit in insurance company (a case study in PT. XYZ Life Insurance)
Fakultas Ekonomi dan Bisnis Universitas Indonesia, 2009
 UI - Tesis (Open)
Paul, Karamjeet, author
Managing extreme financial risk : strategies and tactics for going concerns
Academic Press, 2014
 eBooks
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