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Risk : risk management, derivatives, structured products-Tomo 22 Número 7 - 2009

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Publicação: Risk : risk management, derivatives, structured products

Número: Tomo 22 Número 7 - 2009

Tipo: Normal

Direitos: InC

Título Autor Páginas
The Bank capital burden Pengelly, Mark
Central concerns Sawyer, Nick
The Reality of risk-free Wood, Duncan
Too many cooks? Clark, Joel
Avoiding dividend meltdown Cameron, Matt
Building up Basel II Davies, Rob
Yen for yield Cameron, Matt
Retention rage Whittall, Christopher
The Bespoke conundrum Madigan, Peter
The Bair necessities Madigan, Peter
The Art of debt Cameron, Matt
The Data dilemma Davidson, Clive