Books on the topic 'The valuation of the deposit portfolio'
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Monks, Robert A. G., Alexandra Reed Lajoux, and Dean LeBaron. Corporate Valuation for Portfolio Investment. John Wiley & Sons, Inc., 2010. http://dx.doi.org/10.1002/9781118531860.
Full textFabozzi, Frank J., and H. Markowitz. Equity valuation and portfolio management. John Wiley & Sons, 2011.
Find full textJ, Fabozzi Frank, ed. Floating rate instruments: Characteristics, valuation, and portfolio strategies. Probus Pub. Co., 1986.
Find full textDavidson, Andrew S. Collateralized mortgage obligations: Analysis, valuation and portfolio strategy. Probus Publishing, 1994.
Find full textUnited States. Office of Management and Budget. Agency reports to Congress on loan portfolio valuation. Executive Office of the President, Office of Management and Budget, 1997.
Find full textStapleton, Richard C. The valuation of options on portfolios. European Institute For Advanced Studies in Management, 1987.
Find full textBartlett, William W. The valuation of mortgage-backed securities. Irwin Professional Pub., 1994.
Find full textViebig, Jan. Equity valuation: Models from leading investment banks. John Wiley & Sons, 2008.
Find full textP, Calamos John, ed. Convertible securities: The latest instruments, portfolio strategies, and valuation analysis. McGraw-Hill, 1998.
Find full text1943-, Saitō Susumu, Sawaki Katsushige, and Kubota Keiichi 1948-, eds. Modern portfolio theory and its applications: Inquires into asset valuation problems. Center for Academic Societies, 1996.
Find full textMondher, Bellalah, Prigent Jean-Luc 1958-, and Sahut Jean-Michel, eds. Risk management and value: Valuation and asset pricing. World Scientific, 2008.
Find full textBohn, Jeffrey R. Active Credit Portfolio Management in Practice. John Wiley & Sons, Ltd., 2009.
Find full textDermine, Jean. Bank valuation & value-based management: Deposit and loan pricing, performance evaluation, and risk management. McGraw-Hill, 2009.
Find full textJ, Fabozzi Frank, ed. Advances in the valuation and management of mortgage-backed securities. Frank J. Fabozzi Associates, 1998.
Find full textMayer, Christopher W. Invest like a dealmaker: Secrets from a former banking insider. John Wiley, 2008.
Find full textSanford C. Bernstein & Co. The Bernstein value model: Three-part harmony . Sanford C. Bernstein & Co., 2001.
Find full textR, Cambon Barbara, Hudson-Wilson Susan, and Institute of Chartered Financial Analysts., eds. Real estate: Valuation techniques and portfolio management, Chicago, Illinois, October 25, 1988. The Institute, 1989.
Find full textDermine, Jean. Bank valuation & value-based management: Deposit and loan pricing, performance evaluation, and risk management. McGraw-Hill, 2009.
Find full textY. M. W. B. Weerasekera. Commercial bank management of loan and deposit portfolio: Implications on the interest rate structure. South East Asian Central Banks, Research and Training Centre, 1996.
Find full textA, Capraro Joseph, and Massachusetts Continuing Legal Education, Inc. (1982- ), eds. Maximizing the value of your intellectual property portfolio: As capital, as currency, as a competitive advantage. Massachusetts Continuing Legal Education, 2002.
Find full textKolb, Robert W. Interest rate and stock index futures and options: Characteristics, valuation and portfolio strategies. Financial Analysts Research Foundation, 1985.
Find full textKolb, Robert W. Interest rate and stock index futures and options: Characteristics, valuation, and portfolio strategies. Financial Analysts Research Foundation, 1985.
Find full textFabozzi, Frank J., and H. Markowitz. The theory and practice of investment management: Asset allocation, valuation, portfolio construction, and strategies. 2nd ed. Wiley, 2011.
Find full textGAT, Fixed-Income Conference (3rd 1994) Amelia Island Fla ). Frontiers in fixed income management: The state-of-the-art in credit risk, derivatives valuation and portfolio strategies. Probus Pub., 1995.
Find full textReed, Lajoux Alexandra, ed. Corporate valuation for portfolio investment: Analyzing assets, earnings, cash flow, stock price, governance, and special situations. Bloomberg Press, 2011.
Find full textLamont, Owen A. Evaluating value weighting: Corporate events and market timing. National Bureau of Economic Research, 2002.
Find full textGAT Fixed-Income Conference (3rd 1994). Frontiers in fixed income management: The state-of-the-art in credit resk, derivatives valuation and portfolio strategies. Edited by Ho Thomas S. Y. Probus Publ., 1994.
Find full textShimko, David C. The innovative investor: Version 1.0 : Excel templates for investments. Irwin/McGraw-Hill, 1998.
Find full textGordon, Roger H. Do publicly traded corporations act in the public interest? National Bureau of Economic Research, 1990.
Find full textShimko, David C. The innovative investor: Version 2.0 :Lotus 1-2-3 templates for investments. Irwin, 1993.
Find full textMarkowitz, H. Equity Valuation and Portfolio Management. Wiley & Sons, Incorporated, John, 2012.
Find full textMarkowitz, H. Equity Valuation and Portfolio Management. Wiley & Sons, Incorporated, John, 2012.
Find full textAnnels, A. E. Mineral Deposit Evaluation: A Practical Approach. Springer London, Limited, 2012.
Find full textLajoux, Alexandra Reed, and Robert A. G. Monks. Valuation Based on Earnings. Wiley & Sons, Incorporated, John, 2011.
Find full textLajoux, Alexandra Reed, and Robert A. G. Monks. Valuation Based on Earnings. Wiley & Sons, Incorporated, John, 2011.
Find full textMonks, Robert A., and Alexandra Reed Lajoux. Valuation Based on Earnings. Wiley & Sons, Incorporated, John, 2011.
Find full textLajoux, Alexandra Reed, and Robert A. G. Monks. Valuation Based on Earnings. Wiley & Sons, Incorporated, John, 2011.
Find full textBartlett, William W. The Valuation Mortgaged-Backed Securities. McGraw-Hill, 1993.
Find full textFabozzi, Frank J. Floating Rate Instruments : Characteristics, Valuation, and Portfolio Strategy. Probus Publishing Co, 1986.
Find full textHo, Thomas S. Y., Yung C. Lim, and Andrew S. Davidson. Collateralized Mortgage Obligations: Analysis, Valuation and Portfolio Strategy. McGraw-Hill Companies, 1994.
Find full textAllen, Michael S. Business Portfolio Management: Valuation, Risk Assessment, and EVA Strategies. Wiley, 1999.
Find full textMaxwell, William, Theodore Barnhill, and Mark Shenkman. High Yield Bonds: Market Structure, Valuation, and Portfolio Strategies. McGraw-Hill, 1999.
Find full textMaxwell, William, Theodore Barnhill, and Mark Shenkman. High Yield Bonds: Market Structure, Valuation, and Portfolio Strategies. McGraw-Hill, 1999.
Find full textWeigand, Robert A. Applied Equity Analysis and Portfolio Management. Wiley & Sons, Incorporated, John, 2014.
Find full textLajoux, Alexandra Reed, and Robert A. G. Monks. Corporate Valuation for Portfolio Investment: Analyzing Assets, Earnings, Cash Flow, Stock Price, Governance, and Special Situations. Wiley & Sons, Incorporated, John, 2010.
Find full textLaBaron, Dean, Alexandra Reed Lajoux, and Robert A. G. Monks. Corporate Valuation for Portfolio Investment: Analyzing Assets, Earnings, Cash Flow, Stock Price, Governance, and Special Situations. Wiley & Sons, Limited, John, 2012.
Find full textSolvay, Jacques E., Mich Sanglier, and Paul Brenton. Modelling the Growth of Corporations: Applications for Managerial Techniques and Portfolio Analysis. Palgrave Macmillan, 2001.
Find full textModelling the Growth of Corporations: Applications for Managerial Techniques and Portfolio Analysis. Palgrave Macmillan, 2001.
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