[IMG] [IMG] [IMG] Oral/Ecrit Entrainer-vous, Niveau Debutant
[IMG] [IMG] [IMG] [IMG] [IMG] L'atelier du language Brevet 3e 177 pages in color
[IMG] [IMG] [IMG] [IMG] [IMG] [IMG] [IMG] CFA Level 3 2024 Volume 1, Portfolio Management 380 pages
[IMG] [IMG] [IMG] [IMG] [IMG] [IMG] [IMG] CFA Level 3 2024 Volume 2, Portfolio Management 382 pages
[IMG] [IMG] [IMG] [IMG] [IMG] [IMG] [IMG] CFA Level 3 2024 Volume 3, Portfolio Management 398 pages
[IMG] [IMG] [IMG] [IMG] [IMG] [IMG] [IMG] [IMG] [IMG] CFA Level 3 2024 Volume 4, Portfolio Management 458 pages
[IMG] [IMG] [IMG] [IMG] [IMG] [IMG] [IMG] [IMG] [IMG] CFA Level 3 2024 Volume 5, Portfolio Management 512 pages
[IMG] [IMG] [IMG] [IMG] [IMG] [IMG] [IMG] [IMG] [IMG] [IMG] [IMG] [IMG] [IMG] CFA Level 3 2024 Volume 6, Ethical and professional...
[IMG] Modern Investment Management, AN EQUILIBRIUM APPROACH, Bob Litterman and the Quantitative Resources Group Goldman Sachs Asset Management...
[IMG] Measuring Market Risk, 2nd Edition, Kevin Dowd 412 pages
[IMG] Derivatives Markets, 2nd Edition, Robert McDonald 990 pages
[IMG] Understanding Market, Credit, and Operational Risk, LINDA ALLEN, JACOB BOUDOUKH, ANTHONY SAUNDERS 313 pages
[IMG] Fat-Tailed and Skewed Asset Return Distributions, Implications for Risk Management, Portfolio Selection, and Option Pricing, SVETLOZAR T....
[IMG] Option, Futures and Other Derivatives, 7th Edition, John c. Hull 836 pages
[IMG] Active Portfolio Management, A Quantitative Approach for Providing Superior Returns and Controlling Risk, Richard C. Grinold, Ronald N. Kahn...
[IMG] Portfolio Theory and Performance Analysis, Noel Amenc, Veronique Le Sourd 283 pages
[IMG] Value at Risk, Philippe Jorion 556 pages
[IMG] Managing Credit Risk, The Great Challenge for the Global Financial Markets, JOHN B. CAOUETTE, EDWARD I. ALTMAN, PAUL NARAYANAN, ROBERT NIMMO...
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