The Handbook of Personal Wealth Management: How to Ensure Maximum Returns with Security: How to Ensure Maximum Return with Security
Regression Modeling with Actuarial and Financial Applications (International Series on Actuarial Science)
Portfolio Management under Stress: A Bayesian-Net Approach to Coherent Asset Allocation
State and Market in European Union Law: The Public and Private Spheres of the Internal Market Before the EU Courts (Cambridge Studies in European Law and Policy)
Outsourcing Economics
Insights into Game Theory
Capital Budgeting: Financial Appraisal of Investment Projects
Sustainable Development in Practice
Multinationals and Corporate Social Responsibility
Organizational Learning from Performance Feedback
Modelling Financial Derivatives with MATHEMATICA ®
Critical Issues in Environmental Taxation: Volume VI: International and Comparative Perspectives: 6 (Critical Issues Environmental Taxation)
Nugget Coombs
ServSafe Coursebook
Hedge Funds in Emerging Markets
Valuation and Risk Management in Energy Markets