Call Number (LC) Title Results
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 /
Intertemporal Asset Pricing Evidence from Germany /
Increasing Shareholder Value Distribution Policy, A Corporate Finance Challenge /
Handbook of Insurance
166
HG1501 .I52 Index to bank letters, bulletins, and reviews. 1
HG1501 .J58 Journal of bank research. 1
HG1501 .J6 The Journal of banking / 1
HG1501 .J63 Journal of retail banking.
Journal of retail banking services : JRBS.
2
HG1501 .J68 Journal of retail banking.
Journal of retail banking services : JRBS.
2
HG1501 .M39 2012eb Exile on Wall Street : one analyst's fight to save the big banks from themselves / 1
HG1501 .M56 2001 Mining your own business in banking : using DB2 Intelligent Miner for data. 1
HG1501 .M68 Mountain states banker. 1
HG1501 .R2 Bankers monthly. 1
HG1501 .R47 Research in banking and finance. 1
HG1501 .W67 The World of banking. 1
HG1503 Some thoughts of the bank 1
HG1503 .B187 The Banker. 1
HG1503 .M87 1696 A proposal for a national bank, consisting of land or any other valuable securities or depositums, with a grand cash for returns of money, &c. From all parts wtihin His Majesty's dominions of England, Scotland and Ireland, &c. The whole to be under the care, inspection, trust and controul of the publick authority and legal magistracy. As the same was presented to the right honourable, Sr. Thomas Lane, Knight, Lord Mayor of the City of London. / 1
HG1505 Modelo para el análisis del cambio institucional y organizacional, MACIO : una aplicación en el sector bancario colombiano /
Creating value and improving financial performance : inclusive finance and the ESG premium /
2