• کتابخانه الکترونیک
      ردیف نام کتاب مولف/ مولفین سال انتشار ناشر نوع تعداد صفحه نام فایل
      1 A Benchmark Approach to Quantitative Finance Eckhard Platen 2007 Springer Book 702 INS:180
      2 A Course on Finance of Insurance-vol. 1 Massimo De Felice 2002   Book 84 INS:330
      3 A Handbook of Times Series Analysis Signal Processing and its Applications Dr Richard Green-Professor Truong Nguyen 1999 ACADEMIC PRESS Book 808 INS:152
      4 A Practical Guide to Forecasting Financial Market Volatility Ser-Huang Poon 2005 Wiley Book 238 INS:25
      5 A Practical Guide to Forecasting Financial Market Volatility Ser-Huang Poon 2005 Wiley Book 238 INS:302
      6 Accounting and Financial Analysis in the Hospitality Industry JONATHAN A. HALES 2005 Elsevier Inc. Book 310 INS:198
      7 Advanced Calculus with Applications in Statistics Andr´e I. Khuri 2003 Wiley Book 704 INS:19
      8 Advanced Credit Risk Analysis Didier Cossin, Hugues Pirotte 2001 Wiley Book 186 INS:9
      9 Advances in Dynamic Game Theory Steffen J?rgensen 2007 Birkha¨user Boston Book 723 INS:135
      10 Allianz and the German Insurance Business GERALD D. FELDMAN 2001 Cambridge Book 592 INS:98
      11 Alternative Risk Transfer: Integrated Risk Management through Insurance, Reinsurance and the Capital Markets Erik Banks 2004 Wiley Book 239 INS:105
      12 An Arbitrage Guide to Financial Markets Robert Dubil 2004 Wiley Book 346 INS:32
      13 An Introduction to Credit Risk Modeling Christian Bluhm-Ludger Overbeck-Christpph Wagner 2003 CHAPMAN & HALL Book 285 INS:35
      14 Analysis of Financial Time Series RUEY S. TSAY 2002 Wiley Book 457 INS:137
      15 Analyzing & Managing Banking Risk A Framework for assessing Corporate Governance & Financial Risk Hennie Van Greuning 2003 The World Bank Book 386 INS:46
      16 Applied C# in Financial Markets MartinWorner 2004 Wiley Book 140 INS:308
      17 Applied Software Risk Management a Guide for Software Project Managers Ravindranath Pandian   Auerbach Publications Book 260 INS:233
      18 Applied Time Series Econometrics Themes in Modern Econometrics HELMUT LU¨ TKEPOHL 2004 Cambridge Book 350 INS:55
      19 Artificial Economics M. Beckmann 2006 Springer Book 238 INS:66
      20 Aspects of Mathematical Finance Marc Yor 2008 Springer Book 83 INS:244
      21 Asset and Risk Management Louis Esch- Robert Kieffer-Thierry Lopez 2005 Wiley Book 416 INS:232
      22 Basic Economics Thomas Sowell 2000 Basic Book Book 379 INS:65
      23 Bayesian Econometrics Gary Koop 2003 Wiley Book 373 INS:78
      24 Bayesian Forecasting and Dynamic Models Springer Series in Statistics Mike West 1997 Springer Book 694 INS:154
      25 Budgets and Financial Management Margaret J. Barr 2002 Wiley Book 134 INS:317
      26 BUSINESS ECONOMICS AND MANAGERIAL DECISION MAKING Trefor Jones 2005 Wiley Book 501 INS:79
      27 CAPITAL ADEQUACY BEYOND BASEL Banking, Securities, and Insurance Hal S. Scott 2005 Oxford Book 354 INS:145
      28 CAPITAL INVESTMENT & FINANCING Christopher Agar 2005 Elsevier Inc. Book 444 INS:206
      29 CATASTROPHE MODELING:A NEW APPROACH TO MANAGING RISK GROSSI PATRICIA   Springer Book 266 INS:204
      30 Catastrophic Risk Erik Banks 2005 Wiley Book 193 INS:94
      31 CHEMICAL ENGINEERING DESIGN Principles, Practice and Economics of Plant and Process Design GAVIN TOWLER 2008 Elsevier Book 1266 INS:147
      32 CHOOSING THE RIGHT LONG-TERM CARE INSURANCE Benjamin Lipson 2002 Wiley Book 290 INS:96
      33 Commodity Trading Advisors G.N. GREGORIOU- V.N. KARAVAS- F. LHABITANT- F. ROUAH 2004 Wiley Book 449 INS:47
      34 Compensation Insurance:Claim Costs, Prices, and Regulation David Durbin 1993 Kluwer Academic Book 367 INS:106
      35 Consumer's Guide to Insurance   2003 State of Wisconsin Book 23 INS:284
      36 Copula Methods in Finance U. Cherubini- E. Luciano- W. Vecchiato 2004 Wiley Book 308 INS:14
      37 Corporate Finance David Whitehurst 2003 McGraw-Hill Book 971 INS:242
      38 CRASH COURSE IN ACCOUNTING AND FINANCIAL STATEMENT ANALYSIS, MATAN FELDMAN- ARKADY LIBMAN 2007 Wiley Book 291 INS:208
      39 Credit Derivatives:Instruments, Application, Pricing Mark J.P.Anson 2004 Wiley Book 229 INS:257
      40 Credit Risk From Transaction to Portfolio Management Andrew Kimber 2004   Book 270 INS:320
      41 Credit Risk measurement ANTHONY SAUNDERS-LINDA ALLEN 2002 Wiley Book 336 INS:255
      42 Credit risk Modeling Using Excel and VBA Gunter Lِoffler- Peter N.Posch 2007 Wiley Book 278 INS:12
      43 Credit Risk Modelling & Credit Derivatives Philipp J. Sch¨onbucher 2000   Book 146 INS:298
      44 CREDIT RISK MODELLING: CURRENT PRACTICES AND APPLICATIONS Basle Committee on Banking Supervision 1999 Basle Book 65 INS:268
      45 Credit Risk Models, Derivatives,and Management Niklas Wagner 2008 CHAPMAN & HALL Book 600 INS:351
      46 Credit Risk Valuation Manuel Ammann 2001 Springer Book 128 INS:6
      47 Credit Risk,Modeling,Valuation & Hedging Marek Rutkowski-Thomasz B.Bieleck 2002 Springer Book 270 INS:13
      48 Credit Risk: Modeling,Valuation and Hedging T.R.Bielecki, M.Rutkouski 2002 Springer Book 270 INS:256
      49 Credit Risk: Pricing, Measurement, and Management Darrell Duffie- Kenneth J. Singleton 2003 Princeton University Press Book 414 INS:4
      50 Credit Scoring and the Availability, Price, and Risk of Small Business Credit Allen N. Berger 2002   Book 39 INS:263
      51 Data Mining in the Insurance Industry A SAS White Paper     A SAS Book 20 INS:184
      52 DECISION BY OBJECTIVES Ernest H. Forman, Mary Ann Selly 2001 World Scientific Book 422 INS:306
      53 Derivatives Demystified-A Step-by-Step Guide to Forwards, Futures, Swaps and Options Andrew M. Chisholm 2004 Wiley Book 247 INS:64
      54 DICTIONARY OF HEALTH INSURANCE AND MANAGED CARE David Edward Marcinko 2006 Springer Book 372 INS:108
      55 Discrete Dynamical Systems, Bifurcations and Chaos in Economics WEI-BIN ZHANG 2006 Elsevier Book 460 INS:149
      56 Distribution of Losses from Large Terrorist Attacks Under the Terrorism Risk Insurance Act Stephen J. Carroll 2005 Rand Book 154 INS:195
      57 Diversification and Portfolio Management of Mutual Funds Greg N. Gregoriou 2007 Palgrave Book 446 INS:347
      58 Dynamic Economics:Quantitative Methods and Applications J´erˆome Adda and Russell Cooper 2002   Book 381 INS:117
      59 Dynamic Optimization the Calculus of Variations& Optimal Control in Economics & Management Second Edition MortonL. Kamien 1991 Elsevier Book 186 INS:150
      60 DYNAMIC TRADING INDICATORS MARK W. HELWEG 2002 Wiley Book 238 INS:341
      61 E s s e n t i a l Economics Matthew Bishop 2004 The Economics Book 289 INS:128
      62 Econometric Analysis William H. Greene   Prentice Hall Book 1054 INS:161
      63 Econometrics Damodar N. Gujarati 2004 MCGRAW Hill Guide Book 1003 INS:151
      64 Economic and Financial Decisions under Risk Louis Eeckhoudt 2005 Princeton University Press Book 245 INS:185
      65 Economic Origins of Dictatorship and Democracy Daron Acemoglu   Incomplete draft Book 415 INS:329
      66 Economics and the theory of games FERNANDO VEGA-REDONDO 2003 Cambridge Book 526 INS:168
      67 Elementary Probability Theory K.L.Chang, A.Sahila 2006 Springer Book 412 INS:318
      68 ELSEVIER'S ECONOMICS DICTIONARY J.L. DE LUCCA 2001 Elsevier Book 978 INS:82
      69 ENCYCLOPEDIA OF BUSINESS & FINANCE-VOL.1 BURTON S. KALISKI 2002 Macmillan Reference USA Book 946 INS:203
      70 Encyclopedia of Finance CHENG-FEW LEE- ALICE C. LEE 2005 Springer Book 859 INS:213
      71 ESSENTIALS of Financial Analysis George T. Friedlob- Lydia L.F. Schleifer 2003 Wiley Book 241 INS:192
      72 Essentials of XBRL Bryan Bergeron 2003 Wiley Book 239 INS:40
      73 ESSENTIALS of XBRL Bryan Bergeron 2003 Wiley Book 239 INS:179
      74 Ethics: A Handbook for Financial Services Professionals   2006 SILVER LAKE PUBLISHING Book 183 INS:170
      75 Evaluation of value at risk Models Guidelines on Market risk Wofdietrich Grau 1999 Oesterreichische Nationalbank Book 58 INS:24
      76 Fat-Tailed and Skewed Asset Return Distributions SVETLOZAR T. RACHEV, CHRISTIAN MENN, FRANK J. FABOZZI 2005 Wiley Book 385 INS:296
      77 Fibonacci and Gann Applications in Financial Markets George Alexander MacLean 2005 Wiley Book 241 INS:202
      78 Finance AnalysisFinancial Engineering Principles Perry H. Beaumont 2004 Wiley Book 318 INS:15
      79 FINANCE AND ACCOUNTING John Leslie Livingstone- Theodore Grossman 2002 Wiley Book 672 INS:177
      80 Finance for Non-Financial Managers Gene Siciliano 2003 McGraw-Hill Book 239 INS:324
      81 FINANCIAL ANALYSIS: TOOLS AND TECHNIQUES ERICH A. HELFERT 2001 McGraw-Hill Book 510 INS:251
      82 Financial and Econometric Models for Credit Risk Management Dr. S.T. Rachev 2003   Book 266 INS:319
      83 FINANCIAL BUSINESS INTELLIGENCE Nils Rasmussen- Paul S. Goldy- Paul S. Goldy 2002 Wiley Book 303 INS:212
      84 Financial Compensation for Victims of Catasrophe Michael Faure-Ton Hartlief 2006 Springer Book 475 INS:176
      85 Financial Econometrics SVETLOZAR T. RACHEV,STEFAN MITTNIK,FRANK J. FABOZZI,SERGIO M. FOCARDI,TEO JASIC 2007 Wiley Book 576 INS:172
      86 Financial Engineering with Finite Elements J¨urgen Topper 2005 Wiley Book 379 INS:205
      87 Financial Management and Analysis FRANK J. FABOZZI- PAMELA P. PETERSON 2003 Wiley Book 1020 INS:7
      88 Financial Markets in Continuous Time Anna Kennedy 2007 Springer Book 331 INS:201
      89 Financial Modeling Simon Benninga 2000 The MIT Press Book 564 INS:315
      90 Financial Modeling of the Equity Market FRANK J. FABOZZI, SERGIO M. FOCARDI, PETTER N. KOLM 2006 Wiley Book 673 INS:294
      91 Financial Risk Manager Philippe Jorion 2003 Wiley Book 733 INS:38
      92 Financial Risk Taking Mike Elvin 2004 Wiley Book 294 INS:254
      93 Financial Sector Assessment   2005 World Bank,IMF Book 464 INS:262
      94 Financial Statement Analysis M. FRIDSON- F. ALVAREZ 2002 Wiley Book 413 INS:56
      95 Fixed Income Strategy Tamara Mast Henderson 2003 Wiley Book 223 INS:235
      96 FORECASTING FINANCIAL MARKETS TONY PLUMMER 2006 British Library Cataloguing Book 433 INS:321
      97 Forecasting Volatility in the Financial Markets John Knight- Stephen Satchell 2007 Elsevier Inc. Book 428 INS:199
      98 Fractal Market Analysis Edgar E. Peters 1994 Wiley Book 167 INS:178
      99 Franchise Value MARTIN L. LEIBOWITZ 2004 Wiley Book 512 INS:72
      100 Freakonomics A Rogue Economist Explores the Hidden Side of Everything Steven D. Levitt   Perfect bound Book 257 INS:163
      101 Functional Analysis for Probability and Stochastic Processes Adam Bobrowski   Cambridge Book 408 INS:239
      102 Fundamental of Corporate Finance Brealey- Myers- Marcos 2001 UNIVERSITY OF PHOENIX Book 651 INS:2
      103 Fundamentals of Corporate Finance Richard A. Brealey, Stewart C. Myers, Alan J. Marcus 2001 McGraw-Hill Book 651 INS:323
      104 Fundamentals of Corporate Finance Ross,Westerfield, Jordon 2004 McGraw-Hill Book 922 INS:325
      105 Fundamentals of Risk Analysis and Risk Management Vlasta Molak 1997 LEWIS PUBLISHERS Book 451 INS:44
      106 Fundamentals of Risk Analysis and Risk Management     LEWIS PUBLISHERS Book 451 INS:247
      107 Fuzzy logic in insurance Arnold F. Shapiro 2004 Elsivier Book 26 INS:283
      108 Game Theory and Economic Analysis A quiet revolution in economics Christian Schmidt 2002 Routledge Book 193 INS:221
      109 GENERALIZED LINEAR MODELS FOR INSURANCE DATA Piet de Jong 2008 Cambridge Book 208 INS:99

      110 Genetics and Life Insurance Mark A. Rothstein 2004 The MIT Press Book 312 INS:121
      111 GETTING STARTED AS A FINANCIAL Planner Jeffrey H. Rattiner 2005 BLOOMBERG PRESS Book 369 INS:190
      112 Global Corporate Finance Suk Kim and Seung H. Kim 2006 Blackwell Book 599 INS:311
      113 GLOSSARY OF INSURANCE POLICY TERMS   1999 OECD Book 126 INS:281
      114 Glossary of Insurance Policy Terms   2000 OECD Centre Book 126 INS:322
      115 GOOD CAPITALISM, BAD CAPITALISM, AND THE ECONOMICS OF GROWTH AND PROSPERITY William J. Baumol   Yale University Press Book 334 INS:222
      116 HANDBOOK FOR DIRECTORS OF FINANCIAL INSTITUTIONS Benton E. Gup 2008 Edward Elgar Publishing Limited Book 2000 INS:124
      117 Handbook of Financial Markets T.Hens,K.R.Schenk-Hoppe 2009 North-Holland, Elsevier Book 591 INS:278
      118 Handbooks in Economics2 Handbook of Econometrics-Volume2 KENNETH J. ARROW-MICHAEL D. INTRILIGATOR 2006 Elsevier Book 905 INS:227
      119 Handbooks in Economics2 Handbook of Econometrics-Volume3 James J. Heckman 2007 Elsevier Book 866 INS:226
      120 Handbooks in Economics2 Handbook of Econometrics-Volume6A James J. Heckman 2007 Elsevier Book 983 INS:225
      121 Health Care,Ethics & Insurance Tom Sorell 1998 Roudledge Book 257 INS:80
      122 HEALTH INSURANCE Michael A. Morrisey- JAMES N. PARKER 2007 Health Administration Press Book 428 INS:114
      123 Hidden Financial Risk Understanding Off–Balance Sheet Accounting J. Edward Ketz 2003 Wiley Book 313 INS:241
      124 Historical Economics Charles P. Kindleberger   UNIVERSITY OF CALIFORNIA PRESS Book 438 INS:146
      125 Implementing value at risk Philip Best 1998 Wiley Book 219 INS:10
      126 Indian Life and Health Insurance Industry Novi Dewan 2008 GABLER EDITION WISSENSCHAFT Book 183 INS:87
      127 Insurance Deregulation and the Public Interest Scott E. Harrington 2000 AEI Press Book 66 INS:216
      128 Insurance and Expanding Systemic Risks Professor Michael G. FAURE and Professor Ton HARTLIEF 2003 OECD Book 262 INS:132
      129 INSURANCE ETHICS FOR A MORE ETHICAL WORLD RESEARCH IN ETHICAL ISSUES IN ORGANIZATIONS PATRICK FLANAGAN 2007 Elsevier Book 291 INS:104
      130 Insurance From Underwriting to derivatives Asset liability Management in insurance companies Eric Briys-Francois de Varenne 2001 Wiley Book 87 INS:16
      131 Insurance in Private International Law FRANCESCO SEATZU 2003 Oxford Book 346 INS:89
      132 Insurance Intermediation An Economic Analysis of the Information Services Market Martina Eckardt 2007 Springer Book 249 INS:215
      133 Insurance Regulation in the United States AN OVERVIEW FOR BUSINESS AND GOVERNMENT Peter M. Lencsis 1997 QUORUM BOOKS Book 158 INS:133
      134 INSURANCE SOLUTIONS,Plan Well—Live Better: A Workbook for People with a Chronic Disease or Disability LAURA D. COOPER, ESQ. 2002 Demos Book 194 INS:129
      135 Insurance Statistics Yearbook Annuaire des 2008 OECD Book 521 INS:131
      136 Insuring medical Malpractice Frank A. Sloan 1991 Oxford Book 264 INS:81
      137 Integrated Risk Management Techniques and Strategies for Managing Corporate Risk Neil A. Doherty 2000 McGraw-Hill Book 497 INS:217
      138 International Economics Paul R. Krugman 2003 University of California, Berkeley Book 781 INS:53
      139 International Trade: An Application of Economic Theory John A. Hobson 2003 Batoche Books Book 76 INS:164
      140 Interpreting Value at Risk (VaR) forecasts Allan W. Gregory 2008 Elsevier Book 10 INS:240
      141 Introduction       Book 696 INS:140
      142 Introduction to Bayesian Econometrics and Decision Theory Karsten T. Hansen 2002 Lecture Notes Book 29 INS:138
      143 Introductory Econometrics for Finance Chris Brooks 2008 Cambridge Book 674 INS:139
      144 Introductory Stochastic Analysis for Finance and Insurance X. Sheldon Lin 2006 Wiley Book 251 INS:5
      145 Introductory Stochastic Analysis for Finance and Insurance X. Sheldon Lin 2006 Wiley Book 251 INS:188
      146 Investment Guarantees Modeling and Risk Management for Equity-Linked Life Insurance MARY HARDY 2003 Wiley Book 358 INS:211
      147 ISLAMIC INSURANCE A modern approach to Islamic banking Aly Khorshid 2004 RoutledgeCurzon Book 245 INS:91
      148 Issues and Options for Government Intervention in the Market for Terrorism Insurance Lloyd Dixon 2004 Rand Book 53 INS:109
      149 Java Methods for Financial Engineering Philip Barker 2007 Springer Book 562 INS:20
      150 Law of Marine Insurance Susan Hodges 1996 Cavendish Publishing Limited Book 696 INS:126
      151 LIABILITY INSURANCE IN INTERNATIONAL ARBITRATION RICHARD JACOBS QC 2004 OXFORD UNIVERSITY PRESS Book 394 INS:123
      152 LIFE AND DEATH IN THE LAND OF OPPORTUNITY SUSAN STARR SERED- RUSHIKA FERNANDOPULLE 2005 University of California Press Book 272 INS:74
      153 Loss Models from Data to Decisions Stuart A. Klugman-Harry H. Panjer-Gordon E. Willmot 2004 Wiley Book 360 INS:196
      154 Managerial Economics A Problem-Solving Approach Nick Wilkinson 2005 CambridgeUniversity Press Book 557 INS:144
      155 Managing Credit Risk in Corporate Bond Portfolio Srichander Ramaswamy 2004 Wiley Book 291 INS:305
      156 MANAGING DOWNSIDE RISK IN FINANCIAL MARKETS Frank A. Sortino- Stephen E. Satchell 2001 Butterworth-Heinemann Finance Book 282 INS:224
      157 Managing GlobalFinancial and Foreign Exchange Rate Risk GHASSEM A. HOMAIFAR 2004 Wiley Book 403 INS:243
      158 Market Neutral Strategies BRUCE I. JACOBS- KENNETH N. LEVY 2005 Wiley Book 303 INS:197
      159 Mathematical and Statistical Methods in Insurance and Finance Cira Perna- Marilena Sibillo 2008 Springer Book 211 INS:30
      160 Mathematical and Statistical Methods in Insurance and Finance Cira Perna, Marilena Sibillo 2008 Springer Book 221 INS:335
      161 Mathematics for Finance:An Introduction to Financial Engineering Marek Capinski- Tomasz Zastawniak 2003 Springer Book 321 INS:229
      162 Mathematics of Financial Markets Robert J. Elliott- P. Ekkehard Kopp 1999 Springer Book 305 INS:231
      163 Matrix Differential Calculus with Applications in Statistics and Econometrics JAN R. MAGNUS- HEINZ NEUDECKER 2007 Wiley Book 469 INS:49
      164 Mises and Austrian Economics A Personal View Congressman Ron Paul 2004 the Ludwig von Mises Institute Book 24 INS:57
      165 Modeling Risk Jonathan Mun 2006 Wiley Book 628 INS:36
      166 Modeling Structured Finance Cash Flows with Microsoft Excel KEITH A. ALLMAN 2007 Wiley Book 221 INS:162
      167 Modelling Extremal Events P. Embrechts, C. Kluppelberg,T.Mikosch 1997 Springer Book 655 INS:200
      168 Modelling Financial Markets BENJAMIN VAN VLIET- ROBERT HENDRY 2004 McGraw-Hill Book 400 INS:250
      169 Modern Portfolio Theory & Investment Analysis Edwin J. Elton-Martin J. Grubert-Stephen J.Brown-William N. Goetsmann 2003 Wiley Book 361 INS:18
      170 Mortgage & Finance       Book 110 INS:246
      171 Neural Networks and Intellect: Using Model-Based Concepts Leonid I. Perlovsky 2001 OXFORD UNIVERSITY PRESS Book 496 INS:122
      172 Neural Networks in Business Kate Smith- Jatinder Gupta 2002 IDEA GROUP PUBLISHING Book 271 INS:356
      173 Neural Networks in Finance and Investing Robert R.Trippi- Efrain Turban 1996 IRWIN Book 867 INS:59
      174 Non-Life Insurance Mathematics Thomas Mikosch 2004 Springer Book 241 INS:326
      175 Non-life insurance mathematics Thomas Mikosch 2004 Springer Book 241 INS:1
      176 Non-Life Insurance Mathematics A Primer Thomas Mikosch 2003 University of Copenhagen Book 108 INS:349
      177 NUMERICAL METHODS IN FINANCE M.Breton, H.Ben Amour 2005 Springer Book 268 INS:279
      178 Numerical Methods in Finance and Economics Paolo Brandimarte 2006 Wiley Book 694 INS:60
      179 Operational risk & resilience Understanding & minimizing operational risk to secure shareholder Value ?   Price waterhouse coopers Book 310 INS:103
      180 Operational Risk Measurement & Modelling Jack. L.King 2001 Wiley Book 137 INS:11
      181 Operational Risk with Excel and VBA NIGEL DA COSTA LEWIS 2004 Wiley Book 284 INS:34
      182 OPTIMAL CONTROL AND DYNAMIC GAMES CHRISTOPHE DEISSENBERG 2005 Springer Book 351 INS:120
      183 OPTIMAL CONTROL MODELS IN FINANCE PING CHEN- SARDAR M.N. ISLAM 2005 Springer Book 220 INS:234
      184 Optimization in Economics and Finance Bruce D. Craven 2005 Victoria University of Melbourne Book 170 INS:68
      185 Pairs Trading:Quantitative Methods and Analysis GANAPATHY VIDYAMURTHY 2004 Wiley Book 223 INS:286
      186 PLANT DESIGN AND ECONOMICS FOR CHEMICAL ENGINEERS Max S. Peters 1991 McGraw-Hill Book 925 INS:119
      187 Portfolio Management in Practice Christine Brentani 2004 Elsevier Book 236 INS:328
      188 Portfolio Management using Value at risk Valdemer Antonio Dallagnol Filho 2006 Master Thesis Book 76 INS:245
      189 PORTFOLIO MANAGEMENT WITH HEURISTIC OPTIMIZATION DIETMAR MARINGER 2005 Springer Book 237 INS:336
      190 Portfolio Optimization and Performance Analysis Jean-Luc Prigent 2007 CHAPMAN & HALL/CRC Book 451 INS:332
      191 Portfolio Theory and Performance Analysis No¨el Amenc, V´eronique Le Sourd 2003 Wiley Book 283 INS:280
      192 Principles of Economics and the Economy Timothy Taylor 2008 Freeload Perss Book 759 INS:166
      193 Principles of Financial Economics Stephen F. LeRoy-Jan Werner 2000 University of California, Santa Barbara Book 290 INS:143
      194 Private Voluntary Health Insurance in Development Alexander S. Preker, Richard M. Scheffl er, Mark C. Bassett 2007 THE WORLD BANK Book 459 INS:134
      195 PROCESS IMPROVEMENT FOR EFFECTIVE BUDGETING AND FINANCIAL REPORTING N. H. RASMUSSEN- C. J. EICHORN- C. S. BARAK- T. PRINCE 2003 Wiley Book 299 INS:21
      196 Protect Yourself USING INSURANCE, SECURITY TECHNIQUES AND COMMON SENSE TO KEEP YOURSELF,YOUR FAMILY AND YOUR THINGS SAFE SILVER LAKE Editors 2004 SILVER LAKE PUBLISHING Book 335 INS:113
      197 Quantitative Financial Economics Keith Cuthbertson 1999 Wiley Book 493 INS:51
      198 Raising Venture Capital Rupert Pearce, Simon Barnes 2006 Wiley Book 260 INS:300
      199 Risk John Adam 1995 Routledge Book 241 INS:125
      200 Risk Analysis in Finance and Insurance ALEXANDER MELNIKOV 2004 CHAPMAN & HALL/CRC Book 252 INS:33
      201 RISK ANALYSIS IN FINANCE AND INSURANCE ALEXANDER MELNIKOV 2004 CHAPMAN & HALL/CRC Book 252 INS:187
      202 Risk and Asset Allocation Attilio Meucci 2005 Springer Book 547 INS:334
      203 RISK AND INSURANCE IN CONSTRUCTION Nael G.Bunni 2003 Spon Press Book 506 INS:93
      204 Risk Budgeting NEIL D. PEARSON 2002 Wiley Book 334 INS:8
      205 Risk Management & Value Creation in Financial Institutions GERHARD SCHROECK 2002 Wiley Book 346 INS:175
      206 Risk Management in Emerging Markets Carl Olsson 2002 Prentice Hall Book 331 INS:26
      207 Risk Management in the Financial Services industry Arjun C. Marphatia   An Overview Book 20 INS:248
      208 Risk Value Insights Creating value through Enterprise risk Management Jerry Miccolis- Samir Shah 2003 Tillinghast Inc. Book 94 INS:23
      209 Risks in the Making Travels in Life Insurance and Genetics Ine Van Hoyweghen   Amesterdam university Press Book 198 INS:84


      210 Salomon Smith Barney Guide to Mortgage-Backed and Asset-Backed Securities LAKHBIR HAYRE 2001 Wiley Book 889 INS:85
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