Call Number (LC) | Title | Results |
---|---|---|
HG1496 ǂb W37 1977eb | ||
HG1501-3550 |
Contemporary Issues in Finance : Current Challenges from Across Europe. Overlapping Generations Methods, Models and Morphology. The Emerald Handbook of Ethical Finance and Corporate Social Responsibility A Framework for Sustainable Development. The Banking Sector under Financial Stability. MONEY MASTERS the progress and power of central banks. |
5 |
HG1501 .A5 | The American banker. | 1 |
HG1501 .A65 1986 | American banker 150th 1836-1986 anniversary : banking's past, financial services' future. | 1 |
HG1501 .A7 | Bulletin of the American Institute of Banking. | 1 |
HG1501 .A84 1921 | Digest of legal opinions of Thomas B. Paton. | 1 |
HG1501 .A84 1921i | Digest of legal opinions of Thomas B. Paton general counsel of the American Bankers Association ... / | 1 |
HG1501 .A87 |
Banking strategies. Bank administration. Bank management / The Magazine of bank administration. Auditgram : the magazine of bank control and operation. |
5 |
HG1501 .B158 | Bank news. | 1 |
HG1501 .B2 | Bank news. | 1 |
HG1501 .B218 | Bankers desk reference ... yearbook. | 1 |
HG1501 .B36 | The bankers magazine | 1 |
HG1501 .B6 |
ABA banking journal Banking. |
3 |
HG1501 .B87 | The Burroughs clearing house. | 1 |
HG1501 .C54 | Cleveland bank note reporter. | 1 |
HG1501 .F422 no. 10 | Oil prices, monetary policy, and the macroeconomy / | 1 |
HG1501 .F422 no. 16 | Estimating GSP and labor productivity by state / | 1 |
HG1501-HG3550 |
Creating Value in Financial Services : Strategies, Operations and Technologies / Market Expectations and Option Prices : Techniques and Applications / The Impact of Public Policy on Consumer Credit / Essays in Honor of William N. Kinnard, Jr / Asset Pricing : -Discrete Time Approach- / A Global Perspective on Real Estate Cycles / Initial Public Offerings: Findings and Theories / Real Estate Valuation Theory / Risk Management: The State of the Art / Economic Foundation of Asset Price Processes / Market Power and the Economy : Industrial, Corporate, Governmental, and Political Aspects / Risk Behaviour and Risk Management in Business Life / Banking Privatisation in Europe the Process and the Consequences on Strategies and Organisational Structures / The origins and nature of Scandinavian central banking / Priority Rule Violations and Perverse Banking Behaviors : Theoretical Analysis and Implications of the 1990s Japanese Loan Markets / Economics and Finance in Mauritius: A Modern Perspective. Crisis Resolution in the Thrift Industry : a Mid America Institute Report / The Banking and Financial Structure in the Nafta Countries and Chile / The Stock Market: Bubbles, Volatility, and Chaos : Proceedings of the Thirteenth Annual Economic Policy Conference of the Federal Reserve Bank of St. Louis / Restructuring the American Financial System / Microstructure of World Trading Markets : a Special Issue of the Journal of Financial Services Research / Regulatory Reform of Stock and Futures Markets : a Special Issue of the Journal of Financial Services Research / Credit Risk Valuation : Methods, Models, and Applications / The Changing Market in Financial Services : Proceedings of the Fifteenth Annual Economic Policy Conference of the Federal Reserve Bank of St. Louis. / Information Evaluation in Capital Markets / Major Financial Institutions of Europe 1993 New perspectives on the bank-firm relationship lending, management and the impact of Basel III / Credit Risk : Measurement, Evaluation and Management / Closed-End Investment Companies : Issues and Answers / Imperfect Information and Investor Heterogeneity in the Bond Market / Hidden Collective Factors in Speculative Trading : a Study in Analytical Economics / Stochastic Dominance : Investment Decision Making under Uncertainty / The Capital Structure Decision / A Game Theory Analysis of Options : Corporate Finance and Financial Intermediation in Continuous Time / Multicriteria Decision Aid Methods for the Prediction of Business Failure / The Fair Value of Insurance Liabilities / New Directions in Real Estate Finance and Investment : Maastricht-Cambridge Symposium 2000 / Lease or Purchase : Theory and Practice / Social Functions and Economic Aspects of Health Insurance / Modular Pricing of Options : an Application of Fourier Analysis / Risk, Information and Insurance : Essays in the Memory of Karl H. Borch / Insurance, Risk Management, and Public Policy : Essays in Memory of Robert I. Mehr / Real Estate: Investment and Financial Strategy / Classical Insurance Solvency Theory / Governing Banking's Future: Markets vs. Regulation / Mortgage Revenue Bonds : Housing Markets, Home Buyers and Public Policy / Explaining Metals Prices : Economic Analysis of Metals Markets in the 1980s and 1990s / Optimal Dynamic Investment Policies of a Value Maximizing Firm / Current Topics in Quantitative Finance / Major Financial Institutions of Continental Europe 1990/91 / The U.S. Payment System: Efficiency, Risk and the Role of the Federal Reserve : Proceedings of a Symposium on the U.S. Payment System sponsored by the Federal Reserve Bank of Richmond / Bank Mergers: Current Issues and Perspectives / Benefits, Costs, and Cycles in Workers' Compensation / Fair Rate of Return in Property-Liability Insurance / Capital Budgeting Under Conditions of Uncertainty Regulation and Supervision of Financial Institutions in the NAFTA Countries and Beyond / New Approaches in Monetary Policy / Risk Classification in Life Insurance An International Comparison of Workers' Compensation / A Theory of Production for the Financial Firm / Financial Management of Life Insurance Companies / Major Financial Institutions of Europe 1994 / International Competitiveness in Financial Services : a Special Issue of the Journal of Financial Services Research / Quantitative Methods for Portfolio Analysis : MTV Model Approach / Advances in Small Business Finance / Insurance Rate Litigation : a Survey of Judicial Treatment of Insurance Ratemaking and Insurance Rate Regulation / The Economics of Mutual Fund Markets: Competition Versus Regulation / Making Decisions About Liability And Insurance : a Special Issue of the Journal of Risk and Uncertainty / Contributions to Insurance Economics / Electronic Funds Transfers and Payments: The Public Policy Issues / The Causes and Costs of Depository Institution Failures / Alternative Ideas in Real Estate Investment / Financial Institutions in Europe under New Competitive Conditions Unlimited Liability of State-owned Banks under the EC-Rules of State Aids / Bonus Options in Health Insurance / Design of Master Agreements for OTC Derivatives / Financial Modelling / Seniors Housing / Public Private Partnership for Urban Rail Transit : Forms, regulatory conditions, participants / Coping with Financial Fragility and Systemic Risk / Changes in the Life Insurance Industry: Efficiency, Technology and Risk Management / Financial Structure in Small Business : Theory, Tests and Applications / Weak Convergence of Financial Markets Ethics in Real Estate / The Law and Finance of Corporate Insider Trading: Theory and Evidence / Discrimination in Financial Services : a Special Issue of the Journal of Financial Services Research / Bank Mergers & Acquisitions / The Fair Value of Insurance Business / Theory and Practice of Insurance / Factors in Business Investment Papers of a Conference Held at the Science Centre, Berlin, Research Area "Labour Market and Employment", September 1987 / Operations Research Models in Quantitative Finance : Proceedings of the XIII Meeting EURO Working Group for Financial Modeling University of Cyprus, Nicosia, Cyprus / Irrational Exuberance Reconsidered : the Cross Section of Stock Returns / Strategic Planning and Modeling in Property-Liability Insurance Financial Risk and Derivatives : a Special Issue of the Geneva Papers on Risk and Insurance Theory / The Ethical Dimension of Financial Institutions and Markets / Interchange Fee Economics : To Regulate or Not to Regulate? / Empirical Finance : Modelling and Analysis of Emerging Financial and Stock Markets / Default Risk in Bond and Credit Derivatives Markets / Government Risk-Bearing : Proceedings of a Conference Held at the Federal Reserve Bank of Cleveland, May 1991 / Financial Models of Insurance Solvency / Corporate Financial Services in Wales 1989 / Megatrends in Retail Real Estate / International Financial Contagion New Trends in Banking Management / Technology Buyouts Valuation, Market Screening Application, Opportunities in Europe / Incomplete Information and Heterogeneous Beliefs in Continuous-time Finance / Modelling for Financial Decisions : Proceedings of the 5th Meeting of the EURO Working Group on "Financial Modelling" held in Catania, 20-21 April, 1989 / Real Estate Issues in the Health Care Industry Proceedings of the First Annual Conference of the Health Care Real Estate Institute / Essays in Honor of James A. Graaskamp: Ten Years After / Ratings, Rating Agencies and the Global Financial System / Venture Capital : a Euro-System Approach / Optimal Portfolios with Stochastic Interest Rates and Defaultable Assets / The Econometrics of Sequential Trade Models : Theory and Applications Using High Frequency Data / Risk Management in Volatile Financial Markets / The Electronic Call Auction: Market Mechanism and Trading : Building A Better Stock Market / Consumer Attitudes Toward Credit Insurance / Risk and Medical Decision Making / Real Estate Education Throughout the World: Past, Present and Future Financial Intermediation in Europe / Regulation of U.S. Equity Markets / Major Insurance Companies of the Arab World 1986 / UK Business Finance Directory 1990/91 : the Guide to Sources of Corporate Finance in Britain / Regulating International Financial Markets : Issues and Policies / Financial Services in Wales 1991 / Financial Integration in Europe / The Welfare State, Public Investment, and Growth : Selected Papers from the 53rd Congress of the International Institute of Public Finance / Advances in Quantitative Asset Management / Creating the Future with All Finance and Financial Conglomerates / Central Banking, Monetary Policies, and the Implications for Transition Economies / Executive Compensation and Shareholder Value : Theory and Evidence / Empirical Research on the German Capital Market / Multi-Channel Strategies for Retail Financial Services : a Management-Framework for Designing and Implementing Multi-Channel Strategies / Risk Management and Regulation in Banking : Proceedings of the International Conference on Risk Management and Regulation in Banking (1997) / Handbook of Public Credit in Europe / Stock Market Policy Since the 1987 Crash a Special Issue of the Journal of Financial Services Research / Investment and Liquidity Constraints : Empirical Evidence for Germany / Credit Risk Pricing Models : Theory and Practice / European Monetary Union : Transition, International Impact and Policy Options / Asset Pricing : Modeling and Estimation / Valuation of Convertible Bonds when Investors Act Strategically / Financial Innovations and the Welfare of Nations : How Cross-Border Transfers of Financial Innovations Nurture Emerging Capital Markets / The Invisible Hands of U.S. Commercial Banking Reform : Private Action and Public Guarantees / Call Auction Trading: New Answers to Old Questions / The Measurement of Market Risk : Modelling of Risk Factors, Asset Pricing, and Approximation of Portfolio Distributions / Credit Markets with Asymmetric Information / Dynamic Firm and Investor Behaviour under Progressive Personal Taxation / Closed-End Fund Pricing Theories and Evidence / Corporate Financial Decisions and Market Value : Studies on Dividend Policy, Price Volatility, and Ownership Structure / Crisis and Change in the Japanese Financial System / Optimal Control of Credit Risk / Risk and Capital : Proceedings of the 2nd Summer Workshop on Risk and Capital Held at the University of Ulm, West Germany June 20-24,1983 / Grain Futures Contracts: An Economic Appraisal / Sequential Binary Investment Decisions : a Bayesian Approach / Emerging Market Capital Flows : Proceedings of a Conference held at the Stern School of Business, New York University on May 23-24, 1996 / Catastrophe Insurance : Consumer Demand, Markets and Regulation / Arbitrage Theory : Introductory Lectures on Arbitrage-Based Financial Asset Pricing / Modernisation and Privatisation of Postal Systems in Europe : New Opportunities in the Area of Financial Services / Managing the Insolvency Risk of Insurance Companies : Proceedings of the Second International Conference on Insurance Solvency / Bonus-Malus Systems in Automobile Insurance / Reforming Financial Institutions and Markets in the United States Towards Rebuilding a Safe and More Efficient System / Banking Structures in Major Countries / Capital Market Equilibria / The Palgrave handbook of European banking / Handbook of Insurance Intertemporal Asset Pricing Evidence from Germany / Increasing Shareholder Value Distribution Policy, A Corporate Finance Challenge / |
166 |
HG1501 .I52 | Index to bank letters, bulletins, and reviews. | 1 |
HG1501 .J58 | Journal of bank research. | 1 |