Arama Sonuçları Portföy Yönetimi . - Daraltılmış: English
SirsiDynix Enterprise
https://katalog.hacettepe.edu.tr/client/tr_TR/default_tr/default_tr/qu$003dPortf$0025C3$0025B6y$002bY$0025C3$0025B6netimi$002b.$0026qf$003dLANGUAGE$002509Dil$002509ENG$002509English$0026ps$003d300?
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Optimal portfolios with stochastic interest rates and defaultable assets
ent://SD_ILS/0/SD_ILS:105862
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Yazar Kraft, Holger.<br/>Yer Numarası HG 4529.5 .K728 2004<br/>Format: Kitap<br/>Durum Beytepe Kütüphanesi~1<br/>
Introduction to the mathematics of finance : from risk management to options pricing
ent://SD_ILS/0/SD_ILS:109018
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Yazar Roman, Steven.<br/>Yer Numarası HG4515.3 .R66 2004<br/>Format: Kitap<br/>Durum Beytepe Kütüphanesi~1<br/>
Dynamic portfolio theory and management : using active asset allocation to improve profits and reduce risk
ent://SD_ILS/0/SD_ILS:110106
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Yazar Oberuc, Richard E.<br/>Yer Numarası HG4529.5 .O247 2004<br/>Format: Kitap<br/>Durum Beytepe Kütüphanesi~1<br/>
Investing online
ent://SD_ILS/0/SD_ILS:84987
2024-12-05T01:32:46Z
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Yazar Gup, Benton E.<br/>Yer Numarası HG 4515.95 G87 2003<br/>Format: Kitap<br/>Durum Beytepe Kütüphanesi~1<br/>
The portfolio selection problem under capital market integration of European and Emerging capital markets : "an empirical analysis"
ent://SD_ILS/0/SD_ILS:88398
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Yazar Kayacan, Murad. Tüzünalper, S. Ozan, ort. yaz. Sermaye Piyasası Kurulu.<br/>Yer Numarası HG 5422 K39 2003<br/>Format: Kitap<br/>Durum Beytepe Kütüphanesi~1<br/>
Individually managed accounts : an investor's guide
ent://SD_ILS/0/SD_ILS:95100
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Yazar Jorgensen, Robert B.<br/>Yer Numarası HG 4529.5 J67 2003<br/>Format: Kitap<br/>Durum Beytepe Kütüphanesi~1<br/>
Credit portfolio management
ent://SD_ILS/0/SD_ILS:97712
2024-12-05T01:32:46Z
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Yazar Smithson, Charles.<br/>Yer Numarası HG 1641 S583 2003<br/>Format: Kitap<br/>Durum Beytepe Kütüphanesi~1<br/>
Dynamic asset pricing theory
ent://SD_ILS/0/SD_ILS:80346
2024-12-05T01:32:46Z
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Yazar Duffie, Darrell.<br/>Yer Numarası HG 4637 D84 2001<br/>Format: Kitap<br/>Durum Beytepe Kütüphanesi~1<br/>
Modern investment theory
ent://SD_ILS/0/SD_ILS:110870
2024-12-05T01:32:46Z
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Yazar Haugen, Robert A.<br/>Yer Numarası HG4529 H38 2001<br/>Format: Kitap<br/>Durum Beytepe Kütüphanesi~1<br/>
Modern investment theory
ent://SD_ILS/0/SD_ILS:61688
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Yazar Haugen, Robert A.<br/>Yer Numarası HG 4529 H38 1997<br/>Format: Kitap<br/>Durum Beytepe Kütüphanesi~1<br/>
Bond markets, analysis and strategies
ent://SD_ILS/0/SD_ILS:61671
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Yazar Fabozzi, Frank J.<br/>Yer Numarası HG 4651 F28 1996<br/>Format: Kitap<br/>Durum Beytepe Kütüphanesi~1<br/>
Investing: the collected works
ent://SD_ILS/0/SD_ILS:72654
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Yazar Leibowitz, Martin L., 1936- Farozzi, F. J., ed.<br/>Yer Numarası HG 4529.5 L44 1992<br/>Format: Kitap<br/>Durum Beytepe Kütüphanesi~1<br/>
Bond risk analysis : a guide to duration and convexity
ent://SD_ILS/0/SD_ILS:72652
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Yazar Douglas, Livingston G.<br/>Yer Numarası HG 4651 D68 1990<br/>Format: Kitap<br/>Durum Beytepe Kütüphanesi~1<br/>
Security and portfolio analysis : concepts and management
ent://SD_ILS/0/SD_ILS:11719
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Yazar French, Dan W.<br/>Yer Numarası HG 4529 F74 1989<br/>Format: Kitap<br/>Durum Beytepe Kütüphanesi~1<br/>
Investments analysis and portfolio management
ent://SD_ILS/0/SD_ILS:11699
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Yazar Relly, Frank K.<br/>Yer Numarası HG 4521 R396 1989<br/>Format: Kitap<br/>Durum Beytepe Kütüphanesi~1<br/>
Mean-variance analysis in portfolio choice and capital markets
ent://SD_ILS/0/SD_ILS:11700
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Yazar Markowitz, Harry M., 1927-<br/>Yer Numarası HG 4529.5 M37 1987<br/>Format: Kitap<br/>Durum Beytepe Kütüphanesi~1<br/>
Fixed-income portfolip strategies
ent://SD_ILS/0/SD_ILS:11722
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Yazar Farozzi, F. J., ed. by.<br/>Yer Numarası HG 4529.5 F588 1989<br/>Format: Kitap<br/>Durum Beytepe Kütüphanesi~1<br/>
Innovations in bond portfolio management : duration analysis and immunization
ent://SD_ILS/0/SD_ILS:11744
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Yazar Kaufman, G. G., ed. Bierwag, G. O., ed.<br/>Yer Numarası HG 4651 I56 1983<br/>Format: Kitap<br/>Durum Beytepe Kütüphanesi~1<br/>