Libros sobre el tema "Crédit – Gestion – Modèles mathématiques"
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Ross, André. Modèles mathématiques en gestion. Sainte-Foy: Le Griffon d'argile, 1987.
Buscar texto completoBelletante, Bernard. Mathématiques et gestion: Les outils fondamentaux. Paris: Ellipses, 1991.
Buscar texto completoVédrine, Jean-Pierre. Techniques quantitatives de gestion. Paris: Librairie Vuibert, 1985.
Buscar texto completoWidmer, Marino. Modèles mathématiques pour une gestion efficace des ateliers flexibles. Lausanne: Presses polytechniques et universitaires romandes, 1991.
Buscar texto completoHamon, Jacques. Bourse et gestion de portefeuille. 2a ed. Paris: Economica, 2005.
Buscar texto completoBouchaud, Jean-Philippe. Théorie des risques financiers: Portefeuilles, options et risques majeurs. Paris: Commissariat à l'énergie atomique, 1997.
Buscar texto completoMoore, Jeffrey H. Decision modeling with Microsoft Excel. 6a ed. Upper Saddle River, N.J: Prentice Hall, 2001.
Buscar texto completoCrête, Michel. Les modèles d'indice de qualité de l'habitat: Des outils utiles pour la gestion de l'habitat de la faune forestière? Québec: Société de la faune et des parcs du Québec, 2003.
Buscar texto completoR, Anderson David. Study guide to accompany quantitative methods for business. 4a ed. St. Paul, Ind: West Pub., 1989.
Buscar texto completoNedzela, Michel. Introduction à la science de la gestion: Méthodes déterministes en recherche opérationnelle. 3a ed. Sillery, Québec: Presses de l'Université du Québec, 1990.
Buscar texto completoNedzela, Michel. Introduction à la science de la gestion: Méthodes déterministes en recherche opérationnelle. 3a ed. Sillery, Qué: Presses de l'Université du Québec, 1986.
Buscar texto completoLegros, Georges. Stratégie financière des groupes: Cours et études de cas corrigées. Paris: Ellipses, 2006.
Buscar texto completoTomasz, Okruszko, ed. Wetlands: Monitoring, modelling and management. London: Taylor & Francis, 2007.
Buscar texto completoTurban, Efraim. Fundamentals of management science. 6a ed. Burr Ridge, Ill: Irwin, 1994.
Buscar texto completoTurban, Efraim. Fundamentals of management science. 3a ed. Plano, Texas: Business Publications, Inc., 1991.
Buscar texto completoN, Kahn Ronald, ed. Active portfolio management: A quantitative approach for providing superior returns and controlling risk. 2a ed. New York: McGraw-Hill, 2000.
Buscar texto completoGrinold, Richard C. Active Portfolio Management. New York: McGraw-Hill, 2001.
Buscar texto completoDyhouse, Gary. Floodplain modeling using HEC-RAS. Exton, PA: Bentley Institute Press, 2007.
Buscar texto completoJ, Edgett Scott y Kleinschmidt Elko J, eds. Portfolio management for new products. Reading, Mass: Addison-Wesley, 1998.
Buscar texto completoJ, Edgett Scott y Kleinschmidt Elko J, eds. Portfolio management for new products. 2a ed. Cambridge, MA: Perseus Pub., 2001.
Buscar texto completoRacicot, François-Éric. Finance computationnelle et gestion des risques: Ingénierie financière avec applications Excel (Visual Basic) et Matlab. Québec: Presses de l'Université du Québec, 2006.
Buscar texto completoStormwater and Urban Water Systems Modeling Conference (2005 Toronto, Ont.). Intelligent modeling of urban water systems. Guelph, Ont: CHI, 2006.
Buscar texto completoCameron, I. R. An evaluation of the density management diagram for coastal Douglas-fir. Victoria, B.C: Canadian Forestry Service, 1988.
Buscar texto completoStormwater and Urban Water Systems Modeling Conference (2006 Toronto, Ont.). Contemporary modeling of urban water systems. Guelph, Ont: CHI, 2007.
Buscar texto completo1937-, James William, Stormwater and Urban Water Systems Modeling Conference (2003 : Toronto, Ont.) y South African Conference on Urban Drainage Modeling and Management (1st : 2003 : Cape Town, South Africa), eds. Innovative modeling of urban water systems. Guelph, Ont: CHI, 2004.
Buscar texto completoStormwater and Urban Water Systems Modeling Conference (2002 Toronto, Ont.). Practical modeling of urban water systems. Guelph, Ont: CHI, 2003.
Buscar texto completoMarkowitz, H. Mean-variance analysis in portfolio choice and capital markets. Oxford: Basil Blackwell, 1987.
Buscar texto completoInternal Credit Risk Models: Capital Allocation and Performance Measurement. Risk Books, 1999.
Buscar texto completoCredit Risk: Models, Derivatives, and Management (Chapman & Hall/Crc Financial Mathematics Series). Chapman & Hall/CRC, 2008.
Buscar texto completoWagner, Niklas. Credit Risk: Models, Derivatives, and Management. Taylor & Francis Group, 2008.
Buscar texto completoWagner, Niklas. Credit Risk: Models, Derivatives, and Management. Taylor & Francis Group, 2008.
Buscar texto completoHopkinson, Martin. Project Risk Maturity Model: Measuring and Improving Risk Management Capability. Taylor & Francis Group, 2017.
Buscar texto completoHopkinson, Martin. Project Risk Maturity Model: Measuring and Improving Risk Management Capability. Taylor & Francis Group, 2017.
Buscar texto completoHopkinson, Martin. Project Risk Maturity Model: Measuring and Improving Risk Management Capability. Taylor & Francis Group, 2017.
Buscar texto completoThe project risk maturity model: Measuring and improving risk management capability. Farnham, Surrey, England: Gower, 2011.
Buscar texto completoOakshott, Les. Essential Quantitative Methods for Business, Management and Finance. 3a ed. Palgrave Macmillan, 2005.
Buscar texto completoAn analysis of credit and equilibrium credit rationing. New York: Garland Pub., 1994.
Buscar texto completoQuantitative Enterprise Risk Management. University of Cambridge ESOL Examinations, 2022.
Buscar texto completoMaltby, Edward y Tomasz Okruszko. Wetlands: Monitoring, Modelling and Management. Taylor & Francis Group, 2007.
Buscar texto completoMaltby, Edward, Tomasz Okruszko, Jan Szatylowicz y Dorota Miroslaw-Swiatek. Wetlands: Monitoring, Modelling and Management. Taylor & Francis Group, 2014.
Buscar texto completoMaltby, Edward, Tomasz Okruszko, Jan Szatylowicz y Dorota Miroslaw-Swiatek. Wetlands: Monitoring, Modelling and Management. Taylor & Francis Group, 2014.
Buscar texto completo(Editor), Tomasz Okruszko, Edward Maltby (Editor), Jan Szatylowicz (Editor), Dorota Miroslaw-Swiatek (Editor) y Wiktor Kotowski (Editor), eds. Wetlands Monitoring Modelling and Management: Proceedings of the International Conference on Wetlands W3M: Wierzba, Poland 22-25 September 2005 (Balkema--Proceedings ... in Engineering, Water and Earth Sciences). CRC, 2007.
Buscar texto completoScherer, Bernd. Portfolio Construction and Risk Budgeting. Risk Books, 2002.
Buscar texto completoScherer, Bernd. Portfolio Construction and Risk Budgeting. Risk Books, 2007.
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