Risk Neutral Pricing and Financial Mathematics: A Primer by: Knopf, Peter M.; Teall, John L. Publisher: Elsevier Science(2015/7/29) Language: English ISBN-10: 0128015349 ISBN-13: 9780128015346 e-ISBN-10: 0128017279 e-ISBN-13: 9780128017272
Contabilità per l’amministrazione economica dello Stato dal secolo XIX: Criticità e riflessioni by: Anselmi, Luca; Lazzini, Simone; Zarone, Vincenzo; Ponzo, Sabina Publisher: G. Giappichelli Editore(2012/11/12) Language: Italian ISBN-10: 8834837967 ISBN-13: 9788834837962 e-ISBN-10: 8892153161 e-ISBN-13: 9788892153165
Economic and Financial Modeling of Markets, Institutions and Instruments by: Worthington, Andrew C. Publisher: Nova Science Publishers, Inc.(2014/10/17) Language: English ISBN-10: 1634631110 ISBN-13: 9781634631112 e-ISBN-10: 163463134X e-ISBN-13: 9781634631341
Bayesian Risk Management: A Guide to Model Risk and Sequential Learning in Financial Markets by: Sekerke, Matt Publisher: Wiley(2015/8/19) Edition: 1 Language: English ISBN-10: 1118708601 ISBN-13: 9781118708606 e-ISBN-10: 1118747453 e-ISBN-13: 9781118747452
Summary of The Sages: Warren Buffett, George Soros, Paul Volcker, and the Maelstrom of Markets – Charles R. Morris by: Reader, Capitol Publisher: Primento Digital(2013/6/21) Language: English e-ISBN-10: 2511002485 e-ISBN-13: 9782511002483
I fini del bilancio nel modello IASB: evoluzione o regresso? by: Sannino, Giuseppe; Tartaglia Polcini, Paolo Publisher: G. Giappichelli Editore(2014/10/28) Language: Italian ISBN-10: 8834851838 ISBN-13: 9788834851838 e-ISBN-10: 8892154826 e-ISBN-13: 9788892154827