Finance
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Finance
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- 109 consejos para llegar a fin de mes
- 60 minutes, Andy Rooney reviews the Forbes 400 list
- 60 minutes, Andy Rooney stumped by the headlines
- A Beta-return Efficient Portfolio Optimisation Following the CAPM : An Analysis of International Markets and Sectors
- A Diary of the Euro Crisis in Cyprus : Lessons for Bank Recovery and Resolution
- A Guide to Good Money : Beyond the Illusions of Asset Inflation
- A History of Socially Responsible Business, c.1600-1950
- A Japanese Approach to Stages of Capitalist Development : What Comes Next?
- A Permanent Crisis : The Financial Oligarchy's Seizing of Power and the Failure of Democracy
- A Time Series Approach to Option Pricing : Models, Methods and Empirical Performances
- A century of sovereign ratings
- A political economy of contemporary capitalism and its crisis : demystifying finance
- Accounting and Finance Clips, 1, Accounting, Forecasting & Breakeven
- Accounting and Finance Clips, 3, Budgeting
- Accounting and Finance Clips, 6, Costs & Profit
- Accounting and Finance Clips, 7, Depreciation, Objectives & Strategy
- Accounting, Cash Flow and Value Relevance
- Action and Choice : An Introduction to Economics
- Activities and Maintenance Strategies of Interest Groups in the United States, 1980 and 1985
- Actuarial Sciences and Quantitative Finance : ICASQF, Bogotá, Colombia, June 2014
- Advanced Mathematical Methods for Finance
- Advanced REIT Portfolio Optimization : Innovative Tools for Risk Management
- Advances in Crowdfunding : Research and Practice
- Advances in Quantitative Economic Research : 2021 International Conference on Applied Economics (ICOAE), Heraklion Crete, Greece
- Advances in financial economics
- Affine Diffusions and Related Processes: Simulation, Theory and Applications
- African manager
- Aircraft Valuation in Volatile Market Conditions : Guiding Toward Profitability and Prosperity
- Alternative Ideas from 10 (Almost) Forgotten Economists
- Alternative Investments in Wealth Management : A Comprehensive Study of the Central and East European Market
- Alternative risk transfer : integrated risk management through insurance, reinsurance, and the capital markets
- An Artificial Wicksell-Keynes Macroeconomy : Integrating Business Cycle and Cumulative Process
- An Introduction to Continuous-Time Stochastic Processes : Theory, Models, and Applications to Finance, Biology, and Medicine
- An Introduction to Mathematical Finance with Applications : Understanding and Building Financial Intuition
- An Introduction to Socio-Finance
- An inquiry into the nature of value and of capital : and into the operation of government loans, banking institutions, and private credit
- Analyzing Financial Data and Implementing Financial Models Using R
- Anomalies in net present value, returns and polynomials, and regret theory in decision-making
- Applied Asset and Risk Management : A Guide to Modern Portfolio Management and Behavior-Driven Markets
- Applied Corporate Finance : Making Value-Enhancing Decisions in the Real World
- Applied Corporate Finance : Questions, Problems and Making Decisions in the Real World
- Applied Financial Econometrics : Theory, Method and Applications
- Applied Multivariate Statistical Analysis
- Applied Operations Research and Financial Modelling in Energy : Practical Applications and Implications
- Applied Quantitative Finance
- Arthur O. Dietz
- Artificial Financial Intelligence in China
- Assessing Risk Assessment : Towards Alternative Risk Measures for Complex Financial Systems
- Assessing the Economic Value of Venture Capital Contracts : An Option Pricing Approach
- Asset Pricing and Investment Styles in Digital Assets : A Comparison with Traditional Asset Classes
- Asset price response to new information : the effects of conservatism bias and representativeness heuristic
- Asymptotic Chaos Expansions in Finance : Theory and Practice
- Automatisierter Handel : Hat der Mensch am Finanzmarkt noch eine Daseinsberechtigung?
- BRIDGING THE GAAP : Recent Advances in Finance and Accounting
- Backward Stochastic Differential Equations : From Linear to Fully Nonlinear Theory
- Backward Stochastic Differential Equations with Jumps and Their Actuarial and Financial Applications : BSDEs with Jumps
- Balancing islamic and conventional banking for economic growth : empirical evidence from emerging economies
- Bank Funding Strategies : The Use of Bonds and the Bail-In Effect
- Bank Management and Control : Strategy, Pricing, Capital and Risk Management
- Banking
- Banking Beyond Banks and Money : A Guide to Banking Services in the Twenty-First Century
- Banking across boundaries : placing finance in capitalism
- Banking and Beyond : The Evolution of Financing along Traditional and Alternative Avenues
- Banking and Monetary Policy from the Perspective of Austrian Economics
- Banking, Projecting and Politicking in Early Modern England : The Rise and Fall of Thompson and Company 1671{u2012}1678
- Behavioral interactions, markets, and economic dynamics : topics in behavioral economics
- Benchmarking Banking Sector Efficiency Across Regional Blocks in Sub-Saharan Africa : What Room for Policy?
- Beneficial Property Taxation for Emerging Market Countries : Addressing Climate Change and Post-Pandemic Recovery
- Between debt and the devil : money, credit, and fixing global finance
- Beyond Bitcoin : Economics of Digital Currencies and Blockchain Technologies
- Beyond junk bonds : expanding high yield markets
- Beyond the curse : policies to harness the power of natural resources
- Bezos commits $10 billion to fight climate change
- Bills of Union : Money, Empire and Ambitions in the Mid-Eighteenth Century British Atlantic
- Bitcoin and mobile payments : constructing a European Union framework
- Blackstone launches mutual fund
- Blind Spots in the Spotlight : National Bank of Romania's Answers to the Financial Crisis Aftershocks from the Perspective of Central Bankers, the Public and the Media
- Book-Keeping modernised : or, merchant-accounts by double entry, according to the Italian form. Wherein the theory of the art is clearly explained, and reduced to practice, in copious Sets of Books, exhibiting all the varieties that usually occur in Real Business. To which is added, a large appendix. Containing, I. Descriptions and specimens of the Subsidiary Books used by Merchants. II. Monies and Exchanges, the nature of Bills of Exchange, Promissory Notes, and Bills of Parcels. III. Precedents of Merchants Writings, peculiar to England, Scotland, and common to both. IV. The Commission, Duty, and Power of Factors. V. A short History of the Trading Companies in Great Britain, with an account of her exports and imports. VI. The produce and commerce of the Sugar Colonies; with a specimen of the accounts kept by the factors or storekeepers; and an explication of wharf and plantation accounts. Vii. The produce and commerce of the Tobacco Colonies; with a specimen of the accounts usually kept by the storekeepers. Viii. The method of keeping accounts proper for Shopkeepers or Retailers. IX. The Method of keeping the accounts of a Land-Estate. X. A Dictionary, explaining abstruse words and terms that occur in merchandise. By John Mair, A.M
- Bourgeois : Visa-Mastercard settlement to be altered
- Breaking banks : the innovators, rogues, and strategists rebooting banking
- Bubbles and contagion in financial markets, Volume 2, Models and mathematics
- Building financial resilience : do credit and finance schemes serve or impoverish vulnerable people?
- Business in Africa in the Era of Digital Technology : Essays in Honour of Professor William Darley
- Business management, II, (Marketing and finance)
- Business principles, Business 15, RT1 03 - DiGaetano
- Business principles, Business 16, RT1 01 - James
- Business principles, Business 16, RT1 02 - Abney
- Business principles, Business 16, RT1 03 - DiGaetano
- Business principles, Business 16, RT1 05 - Hastings
- Business principles, Business 16, RT2 01 - McNiel
- Business principles, Business 16, RT2 02 - DiGaetano
- Business principles, Business 16, RT2 03 - Abney
- Business principles, Business 16, RT2 04 - Joseph
- Business principles, Business 16, RT2 05 - Neffendorf
- Business principles, Volume 16, No. 3
- Business principles, Volume 16, No. 4
- Business principles, Volume 16, No. 5
- Business principles, Volume 16, No. 6
- CPI financial
- Calcolo stocastico per la finanza
- Capital Market Finance : An Introduction to Primitive Assets, Derivatives, Portfolio Management and Risk
- Capital Mobilization and Regional Financial Markets
- Capitalism and the Dark Forces of Time and Ignorance : Economic and Political Expectations
- Capitalism without conscience
- Capturing finance : arbitrage and social domination
- Causal Inference in Econometrics
- Central Bank Independence, Regulations, and Monetary Policy : From Germany and Greece to China and the United States
- Central Bank Policy Mix: Issues, Challenges, and Policy Responses : Handbook of Central Banking Studies
- Central Banking and Financial Stability in East Asia
- Charlie Munger : the complete investor
- China and the Helping Hand, 1937-1945
- China{u2019}s Macroeconomic Outlook : Quarterly Forecast and Analysis Report, March 2015
- Choices & change : macroeconomics, Lesson 9 | Part 1, Financial markets
- Choices & change : macroeconomics, Lesson 9 | Part 2, Financial markets
- Cognitive Biases in the Capital Investment Context : Theoretical Considerations and Empirical Experiments on Violations of Normative Rationality
- Commodities as an Asset Class : Essays on Inflation, the Paradox of Gold and the Impact of Crypto
- Community-based operations research : decision modeling for local impact and diverse populations
- Company Tax Reform in the European Union : Guidance from the United States and Canada on Implementing Formulary Apportionment in the EU
- Comparing financial systems
- Comparing financial systems
- Compassion Capital Fund Demonstration Program Impact Study, FY 2006-2008, United States
- Compassion Capital Fund Demonstration Program Outcome Study, FY 2003-2005, United States
- Competition in the financial sector : overview of competition policies
- Complex networks and dynamics : social and economic interactions
- Complexity in financial markets : modeling psychological behavior in agent-based models and order book models
- Computation of Greeks Using the Discrete Malliavin Calculus and Binomial Tree
- Computational Finance : An Introductory Course with R
- Consumer Credit in Europe : Macro- and Microeconomic Perspectives
- Contagion! Systemic Risk in Financial Networks
- Contemporary Trends and Challenges in Finance : Proceedings from the 2nd Wroclaw International Conference in Finance
- Contemporary Trends and Challenges in Finance : Proceedings from the 4th Wroclaw International Conference in Finance
- Contemporary Trends and Challenges in Finance : Proceedings from the 6th Wroclaw International Conference in Finance
- Contemporary issues in macroeconomics : lessons from the crisis and beyond
- Continuation of Services Funded Under Title III of the Older Americans Act of 1965
- Continuous-Time Asset Pricing Theory : A Martingale-Based Approach
- Continuous-Time Asset Pricing Theory : A Martingale-Based Approach
- Continuous-time finance
- Contradictions : finance, greed, and labor unequally paid
- Coping with Financial Crises : Some Lessons from Economic History
- Corporate Disclosures and Financial Risk Assessment : A Dichotomous Data-Analytical Approach Using Multivariate Scoring Models and Scenario Techniques
- Corporate Financial Distress : A Study of the Italian Manufacturing Industry
- Corporate Governance in Emerging Markets : Theories, Practices and Cases
- Corporate Governance in the Knowledge Economy : Lessons from Case Studies in the Finance Sector
- Corporate Social Responsibility, Corporate Restructuring and Firm's Performance : Empirical Evidence from Chinese Enterprises
- Cost-of-Capital in Managerial Finance : An Examination of Practices in the German Real Economy Sector
- Credit Rating Agencies : Self-regulation, Statutory Regulation and Case Law Regulation in the United States and European Union
- Crisis, debt, and default : the effects of time preference, information, and coordination
- Critical Issues and Challenges in Islamic Economics and Finance Development
- Cross-Border Venture Capital Investments : Why Do Venture Capital Firms Invest at a Distance?
- Crowdfunding als alternative Finanzierungsform : durch die methode der schwarmfinanzierung von der idee zum Massenprodukt
- Crowdfunding in Europe : State of the Art in Theory and Practice
- Crypto Uncovered : The Evolution of Bitcoin and the Crypto Currency Marketplace
- Currency Cooperation in East Asia
- Currency speculation in fixed exchange rate regimes : theory and empirical evidence
- Das deutsche Parteiengesetz auf spanisch : text zum Rechtsvergleich und zum Erlernen von Fachspanisch
- Debt : ethics, the environment, and the economy
- Debt in Times of Crisis : Does Economic Crisis Really Impact Debt?
- Degunking your personal finances
- Delusions of Competence : The Near-Death of Lloyd's of London 1970--2002
- Demystifying China{u2019}s Economy Development
- Derivative Security Pricing : Techniques, Methods and Applications
- Detroit Area Study, 1988: Perspectives on the Care of the Elderly
- Developing Country Perspectives on Public Service Delivery
- Die Finanzmarktkrise und das Strafrecht
- Direct Taxation in Austria
- Does financial connectedness predict crises?
- Drivers of Bank Lending : New Evidence from the Crisis
- Dynamic Markov Bridges and Market Microstructure : Theory and Applications
- Dynamics of Cross-Border Flow-Performance Relationships : The Case of European Equity (UCITS) Funds
- EU Crisis and the Role of the Periphery
- Early Head Start-Child Care Partnerships, 2016 [United States]
- Early Head Start-Child Care Partnerships, United States, 2016
- Eco-Capitalism : Carbon Money, Climate Finance, and Sustainable Development
- Econometrics of Risk
- Economic Cycles in Emerging and Advanced Countries : Synchronization, International Spillovers and the Decoupling Hypothesis
- Economic Foundations for Finance : From Main Street to Wall Street
- Economic Policies for a Post-Neoliberal World
- Economic Policies since the Global Financial Crisis
- Economic Response : Comparative Studies in Trade, Finance, and Growth
- Economic and Financial Modelling with EViews : A Guide for Students and Professionals
- Economic and Social Development of the Southern and Eastern Mediterranean Countries
- Economic review (UK)
- Economics and Computation : An Introduction to Algorithmic Game Theory, Computational Social Choice, and Fair Division
- Electricity Derivatives
- Elements of Copula Modeling with R
- Elements of financial risk management
- Elements of structured finance
- Emerging Technologies for Emerging Markets
- Emotional Banking : Fixing Culture, Leveraging FinTech, and Transforming Retail Banks into Brands
- Empirical perspectives in capital asset pricing
- Encyclopedia of Finance
- Enlargement of Filtration with Finance in View
- Enterprise, Money and Credit in England before the Black Death 1285-1349
- Entrepreneurial Ecosystem : Perspectives from Emerging Economies
- Environmental Finance and Investments
- Equity Valuation and Negative Earnings : The Case of the dot.com Bubble
- Esercizi di finanza matematica
- Essays in Financial Economics
- Ethics in Quantitative Finance : A Pragmatic Financial Market Theory
- Eurasian Business and Economics Perspectives : Proceedings of the 34th Eurasia Business and Economics Society Conference
- Eurasian Business and Economics Perspectives : Proceedings of the 35th Eurasia Business and Economics Society Conference
- Eurobarometer 77.2: Economic and Financial Crisis, Helplines for Social Services, Railway Competition, Food Production and Quality, and Cyber Security, March 2012
- European Financial Markets : The Effects of European Union Membership on Central and Eastern European Equity Markets
- European Union and Monetary Union in Permanent Crisis II : Scenarios for the future of the euro
- Euroweek Asia
- Evolution of Central Banking? : De Nederlandsche Bank 1814 -1852
- Evolution of the Exchange Industry : From Dealers' Clubs to Multinational Companies
- Exchange Rate Developments and Policies in the Caucasus and Central Asia
- Experiments in financial economics
- Explaining Monetary and Financial Innovation : A Historical Analysis
- Extracting Knowledge From Time Series : An Introduction to Nonlinear Empirical Modeling
- FPGA Based Accelerators for Financial Applications
- Factors Influencing the Quality and Utility of Government-Sponsored Criminal Justice Research in the United States, 1975-1986
- Federal Budget Outlays, 1971-1980 [United States]
- Finance
- Finance & development, Volume 54, number 1
- Finance - fundamental problems and solutions
- Finance In Business I
- Finance Terminology
- Finance and Sustainability : Proceedings from the 2nd Finance and Sustainability Conference, Wroclaw 2018
- Finance and banking developments
- Finance and development, March 2014 : Europe's union step by step.
- Finance and economics discussion series
- Finance and financial intermediation : a modern treatment of money, credit, and banking
- Finance and the Welfare State : Banking Development and Regulatory Principles in Sweden, 1900-2015
- Finance basics
- Finance for growth : policy choices in a volatile world
- Finance in Business I : Finance for Starting a Business
- Finance with Monte Carlo
- Finance, Law, and the Crisis of COVID-19 : An Interdisciplinary Perspective
- Finance, economics and mathematics : the essential Vasicek
- Finance-led capitalism : shadow banking, re-regulation, and the future of global markets
- Financial Analysis of Mergers and Acquisitions : Understanding Financial Statements and Accounting Rules with Case Studies
- Financial Communication in Small and Medium-Sized Enterprises : Patents in Financial Communication
- Financial Crisis Management and Democracy : Lessons from Europe and Latin America
- Financial Crisis, Bank Behaviour and Credit Crunch
- Financial Data Analytics : Theory and Application
- Financial Decisions II : The Small Business
- Financial Deepening and Post-Crisis Development in Emerging Markets : Current Perils and Future Dawns
- Financial Econometrics and Empirical Market Microstructure
- Financial Economics : A Concise Introduction to Classical and Behavioral Finance
- Financial Exposure : Carl Levin's Senate Investigations into Finance and Tax Abuse
- Financial Inclusion Schemes in India
- Financial Inclusion in Emerging Markets : A Road Map for Sustainable Growth
- Financial Innovation and Resilience : A Comparative Perspective on the Public Banks of Naples (1462-1808)
- Financial Institutions in the Global Financial Crisis : The Role of Financial Derivatives, Bank Capital, and Clearing and Custody Services
- Financial Liberalisation : Past, Present and Future
- Financial Literacy : Empowerment in the Stock Market
- Financial Market Bubbles and Crashes : Features, Causes, and Effects
- Financial Market Bubbles and Crashes, Second Edition : Features, Causes, and Effects
- Financial Market Dynamics after COVID 19 : The Contagion Effect of the Pandemic in Finance
- Financial Markets Theory : Equilibrium, Efficiency and Information
- Financial Markets and Economic Performance : A Model for Effective Decision Making
- Financial Markets in Perspective : Lessons from Economic History and History of Economic Thought
- Financial Modeling : A Backward Stochastic Differential Equations Perspective
- Financial Policies in Emerging Markets
- Financial Regulation and Liberation : Saudi Arabia's Path Towards True Global Partnership
- Financial Signal Processing and Machine Learning
- Financial Strategies for the Manager
- Financial Strategies in Competitive Markets : Multidimensional Approaches to Financial Policies for Local Companies
- Financial Sustainability of Pension Systems : Empirical Evidence from Central and Eastern European Countries
- Financial System Stability, Regulation, and Financial Inclusion
- Financial accounting and equity markets : the selected essays of Philip Brown
- Financial derivatives : a blessing or a curse
- Financial economics : a concise introduction to classical and behavioral finance
- Financial engineering
- Financial liberalization : how far, how fast?
- Financial management and corporate governance from the feminist ethics of care perspective
- Financial market operations management
- Financial market trends, 66, March 1997
- Financial market trends, 67, June 1997
- Financial market trends, 68, November 1997
- Financial markets and financial services : ensuring growth, enhancing value
- Financial markets and services
- Financial markets regulation wire
- Financial markets' liberalisation and the role of banks
- Financial markets, banking, and monetary policy
- Financial restructuring to sustain recovery
- Financial risk management : a practitioner's guide to managing market and credit risk + website
- Financial risk management : identification, measurement and management
- Financing state-owned enterprises : an overview of national practices
- Financing the Apocalypse : Drivers for Economic and Political Instability
- Finanzas y desarrollo, Diciembre de 2010 : mercados emergentes Un sitio en la mesa
- Fintech, Small Business & the American Dream : How Technology Is Transforming Lending and Shaping a New Era of Small Business Opportunity
- Fixed-Income Portfolio Analytics : A Practical Guide to Implementing, Monitoring and Understanding Fixed-Income Portfolios
- Fluctuations of Lévy Processes with Applications : Introductory Lectures
- Follow the money
- Foreign Exchange : Practical Asset Pricing and Macroeconomic Theory
- Foreign-Exchange-Rate Forecasting With Artificial Neural Networks
- Foreign-Owned Banks : The Role of Ownership in Post-Communist European Countries
- Formalization of Banking Supervision : 19th-20th Centuries
- Formalizing the Shadow Economy in Serbia : Policy Measures and Growth Effects
- Fostering Sustainable Business Models through Financial Markets
- Fourier-Malliavin Volatility Estimation : Theory and Practice
- Fourth Industrial Revolution and Business Dynamics : Issues and Implications
- Fresh brewed media
- From Centralised to Decentralising Global Economic Architecture : The Asian Perspective
- From Crisis to Crisis : The Transformation of Merchant Banking, 1914-1939
- From Galileo to Modern Economics : The Italian Origins of Econophysics
- From Good to Bad Bankers : Lessons Learned from a 50-Year Career in Banking
- Future Perspectives in Risk Models and Finance
- Future finance, 1, Cash's psychological connection
- Future finance, 2, New traditions
- Future finance, 3, Brand currencies
- Future finance, 4, Remittances, economic talent and Islamic banking
- Future finance, 5, Home trading, alternative finance and mobile money
- Future finance, 6, Banking apps, Hong Kong's global MBA
- Future finance, 7, Gold mining, cyber crime & laser beam tech for trading shares
- General Pontryagin-Type Stochastic Maximum Principle and Backward Stochastic Evolution Equations in Infinite Dimensions
- Generalized Modigliani-Miller Theory : Applications in Corporate Finance, Investments, Taxation and Ratings
- Generalized hyperbolic secant distributions : with applications to finance
- Geopolitical Risk, Sustainability and "Cross-Border Spillovers" in Emerging Markets, Volume I : Constitutional Law, Economic Psychology and Quasi-Labor Issues
- Geopolitical Risk, Sustainability and "Cross-Border Spillovers" in Emerging Markets, Volume II : Constitutional Political Economy, Pandemics-Governance And Labor-Oriented Bail-outs/Bail-ins
- Germany{u2019}s Role in the Euro Crisis : Berlin{u2019}s Quest for a More Perfect Monetary Union
- Global Approaches in Financial Economics, Banking, and Finance
- Global Economic Uncertainties and Exchange Rate Shocks : Transmission Channels to the South African Economy
- Global Financial Stability Report : October 2016
- Global derivative debacles : from theory to malpractice
- Global shocks : an investment guide for turbulent markets
- Globalisation and Finance at the Crossroads : The Financial Crisis, Regulatory Reform and the Future of Banking
- Globalization and national financial systems
- Globalization of financial institutions : a competitive approach to finance and banking
- Globe newswire
- Government Austerity and Socioeconomic Sustainability
- Grammar-Based Feature Generation for Time-Series Prediction
- Green Investing : The Case of India
- Growth and structural reforms : a new assessment
- Growth-Linked Securities
- Grundlagen der Finanzierung und Investition : Mit Fallbespielen und Übungen
- Grundlagen der Finanzierung und Investition : mit Fallbeispielen und Übungen
- Grundzüge der Finanzierung und Investition
- Guide de législation coopérative
- HIV Open Data Project: AIDS Drug Assistance Program (ADAP) Final Client Level Variables (Annual)
- HIV Open Data Project: AIDS Drug Assistance Program (ADAP) Final Grantee Level Variables (Annual)
- HIV Open Data Project: AIDS Drug Assistance Program (ADAP) Quarterly Data Report
- HIV Open Data Project: National HIV Prevention Program Monitoring and Evaluation (NHM&E) - Client Level
- Handbook of International Credit Management
- Health care provision and patient mobility : health integration in the European Union
- Hedge Funds : What Do We Really Know?
- Hedge Funds : What Do We Really Know?
- Hidden Markov Models in Finance : Further Developments and Applications, Volume II
- Higher Education Finance, 1976
- Higher Education General Information Survey (HEGIS) X: Financial Statistics of Institutions of Higher Education for Fiscal Year Ending 1975
- Higher Education General Information Survey (HEGIS) XII: Financial Statistics of Institutions of Higher Education for Fiscal Year Ending 1977
- Higher Education General Information Survey (HEGIS) XIII: Financial Statistics of Institutions of Higher Education for Fiscal Year Ending 1978
- Higher Education General Information Survey (HEGIS) XIV: Financial Statistics of Institutions of Higher Education for Fiscal Year 1979
- Higher Education General Information Survey (HEGIS) XIX: Financial Statistics of Institutions of Higher Education for Fiscal Year 1984
- Higher Education General Information Survey (HEGIS) XV: Financial Statistics of Institutions of Higher Education for Fiscal Year 1980
- Higher Education General Information Survey (HEGIS) XVI: Financial Statistics of Institutions of Higher Education for Fiscal Year 1981
- Higher Education General Information Survey (HEGIS) XVII: Financial Statistics of Institutions of Higher Education for Fiscal Year Ending 1982
- Higher Education General Information Survey (HEGIS) XVIII: Financial Statistics of Institutions of Higher Education for Fiscal Year 1983
- Higher Education General Information Survey (HEGIS) XX: Financial Statistics of Institutions of Higher Education for Fiscal Year 1985
- Higher Education General Information Survey (HEGIS) XXI: Financial Statistics of Institutions of Higher Education for Fiscal Year 1986
- Higher Education General Information Survey (HEGIS), 1968-1969: Financial Statistics
- Higher Education General Information Survey (HEGIS), 1969-1970: Financial Statistics
- Higher Education General Information Survey (HEGIS), 1970-1971: Financial Statistics
- Higher Education General Information Survey (HEGIS), 1971-1972: Financial Statistics
- Higher Education General Information Survey (HEGIS), 1972-1973: Financial Statistics
- Higher Education General Information Survey (HEGIS), 1973-1974: Financial Statistics
- How finance works : the HBR guide to thinking smart about the numbers
- IMF working paper
- IT best practices for financial managers
- Illicit financial flows from developing countries : measuring OECD responses
- Illustrating Finance Policy with Mathematica
- Impact Investing in Africa : A Guide to Sustainability for Investors, Institutions, and Entrepreneurs
- In Defense of Deflation
- Independent Random Sampling Methods
- India's Economy and Society : Lateral Explorations
- Individual Financial Planning for Retirement : Empirical Insights from the Affluent Segment in Germany
- Individual and Collective Choice and Social Welfare : Essays in Honor of Nick Baigent
- Inequality : Trends, Causes, Consequences, Relevant Policies
- Inequality and Finance in Macrodynamics
- Infrastructure and economic growth in Asia
- Innovation in Financial Services : A Dual Ambiguity
- Innovations in Quantitative Risk Management : TU München, September 2013
- Inspired by finance : the Musiela festschrift
- Institutional Data Archive on American Higher Education, 1970-2011
- Insurance Economics
- Intangibles, Market Failure and Innovation Performance
- Integrated Postsecondary Education Data System (IPEDS): Higher Education Finance Data, 1986-1987
- Integrated Postsecondary Education Data System (IPEDS): Higher Education Finance Data, 1987-1988
- Integrated Postsecondary Education Data System (IPEDS): Higher Education Finance Data, 1988-1989
- Integrated Postsecondary Education Data System (IPEDS): Higher Education Finance Data, 1991-1992
- Integrated Postsecondary Education Data System (IPEDS): Higher Education Finance Data, 1992-1993
- Integrated Postsecondary Education Data System (IPEDS): Higher Education Finance Data, 1993-1994
- Integrated Postsecondary Education Data System (IPEDS): Higher Education Finance Data, 1994-1995
- Integrated Postsecondary Education Data System (IPEDS): Higher Education Finance Data, 1995-1996
- Integrating Culture in Successful RIA Mergers and Acquisitions : The Guide for Financial Advisors
- Interest Rate Modeling: Post-Crisis Challenges and Approaches
- Intergenerational Income Mobility and Redistributive Policy
- Intermediate financial theory
- Intermediate financial theory
- International Financial Statistics
- International Financial Statistics - April 2013
- International Macroeconomics in the Wake of the Global Financial Crisis
- Internationalization of the RMB : 2013 annual report
- Internet Finance : Concepts, Factors and Ecology
- Introduction to Central Banking
- Introduction to Insurance Mathematics : Technical and Financial Features of Risk Transfers
- Introduction to Measure Theory and Functional Analysis
- Introduction to Quantitative Methods for Financial Markets
- Introduction to Quasi-Monte Carlo Integration and Applications
- Introduction to Stochastic Finance
- Introduction to the economics of financial markets
- Invest like an institution : profit-driven strategies from the world's most successful institutional investors
- Investing in the Age of Democracy : Ten Lessons in Applied Austrian Economics
- Investition und Finanzierung
- Investment strategies optimization based on a SAX-GA methodology
- Investor Expectations in Value Based Management : Translated by Klementyna Dec and Weronika Mincer
- Islamic Finance and Circular Economy : Connecting Impact and Value Creation
- Islamic capital markets : volatility, performance and stability
- Islamic perspectives relating to business, arts, culture and communication : Proceedings of the 1st ICIBACC 2014
- Jacob Schiff and the Art of Risk : American Financing of Japan's War with Russia (1904-1905)
- Judicial Selection and Judicial Administration Innovations in the United States, 1970-1979
- Just financial markets? : finance in a just society
- Knicker business
- Knuckman : dollar will be catalyst for higher gold
- Kuwait : selected issues
- La valoracion financiera en el PGC
- Land and Credit : Mortgages in the Medieval and Early Modern European Countryside
- Lanka Business Online
- Large Deviations and Asymptotic Methods in Finance
- Le prime esperienze di bilancio integrato : analisi e riflessioni
- Leaders of the Crowd : Conversations with Crowdfunding Visionaries and How Real Estate Stole the Show
- Leveraged : the new economics of debt and financial fragility
- Linear and Mixed Integer Programming for Portfolio Optimization
- Liquidity, Markets and Trading in Action : An Interdisciplinary Perspective
- Long-Term Effects of Law Enforcement's Post-9/11 Focus on Counterterrorism and Homeland Security, 2007-2010, United States
- Long-term finance
- MENA financial markets
- Macroeconomic Policy : Demystifying Monetary and Fiscal Policy
- Macroeconomic Policy : Demystifying Monetary and Fiscal Policy
- Macroeconomic Responses to the COVID-19 Pandemic : Policies from Southeast Europe
- Macroeconomic effects of soverign restructuring in a monetary union : a model-based approach
- Management Control with Integrated Planning : Models and Implementation for Sustainable Coordination
- Mandatory Non-financial Risk-Related Disclosure : Measurement Problems and Usefulness for Investors
- Market Microstructure and Nonlinear Dynamics : Keeping Financial Crisis in Context
- Market Risk and Financial Markets Modeling
- Market microstructure in emerging and developed markets
- Market microstructure in practice
- Market, Regulations and Finance : Global Meltdown and the Indian Economy
- Market-consistent actuarial valuation
- Marxist monetary theory : collected papers of
- Mastering R for quantitative finance : use R to optimize your trading strategy and build up your own risk management system
- Mathematical Financial Economics : A Basic Introduction
- Mathematical Methods and Models in Economic Planning, Management and Budgeting
- Mathematical Models of Financial Derivatives
- Mathematical Risk Analysis : Dependence, Risk Bounds, Optimal Allocations and Portfolios
- Mathematical and Statistical Methods for Actuarial Sciences and Finance : MAF 2016
- Mathematical and Statistical Methods for Actuarial Sciences and Finance : eMAF2020
- Mathematics of Finance : An Intuitive Introduction
- Measuring systemic risk-adjusted liquidity (SRL) : a model approach
- Merchant Princes and Charlatans or Makers of Money? : Decoding Icons of Nineteenth Century British and International Finance
- Metaheuristics for Portfolio Optimization : An Introduction Using MATLAB
- Microfinance 3. 0 : reconciling sustainability with social outreach and responsible delivery
- Microfinance to Combat Global Recession and Social Exclusion : An Empirical Investigation
- Microfinance, EU Structural Funds and Capacity Building for Managing Authorities : A Comparative Analysis of European Convergence Regions
- Modeling and Valuation of Energy Structures : Analytics, Econometrics, and Numerics
- Modelling Extremal Events : for Insurance and Finance
- Modelling German Covered Bonds
- Modelling Trends and Cycles in Economic Time Series
- Modern Actuarial Risk Theory : Using R
- Modern Corporate Finance, Investments and Taxation
- Modern Corporate Finance, Investments, Taxation and Ratings
- Modern Financial Crises : Argentina, United States and Europe
- Modern Problems in Insurance Mathematics
- Monetary Transitions : Currencies, Colonialism and African Societies
- Monetary and Financial Statistics Manual and Compilation Guide
- Money Matters : How Money and Banks Evolved, and Why We Have Financial Crises
- Money Metropolis : A Locational Study of Financial Activities in the New York Region
- Money and Debt: The Public Role of Banks
- Money and Government : A Study of China and Japan from a Historical Perspective
- Money and banking : an international text
- Money and life
- Money, Credit, and Crises : Understanding the Modern Banking System
- Money, banking, and financial markets
- Moving Millions : Transport Strategies for Sustainable Development in Megacities
- Multicriteria Analysis in Finance
- Multilateral Development Banks : Governance and Finance
- Multiple Criteria Decision Making in Finance, Insurance and Investment
- Mutual Fund Performance and Performance Persistence : The Impact of Fund Flows and Manager Changes
- National Center for Early Development and Learning Multistate Study of Pre-Kindergarten, 2001-2003
- National Data Base on Aging [United States], 1981
- National Evaluation of the Juvenile Accountability Incentive Block Grant Program, 1998-2002
- National Postsecondary Student Aid Survey, 1987
- National Postsecondary Student Aid Survey, 1987 [Reformatted Files]
- Negotiating Business Narratives : Fables of the Information Technology, Automobile Manufacturing, and Financial Trading Industries
- Neoclassical finance
- Networks, Topology and Dynamics : Theory and Applications to Economics and Social Systems
- New Challenges in Entrepreneurship and Finance : Examining the Prospects for Sustainable Business Development, Performance, Innovation, and Economic Growth{u200B}
- New Cooperative Banking in Europe : Strategies for Adapting the Business Model Post Crisis
- New Dynamics in Banking and Finance : 5th International Conference on Banking and Finance Perspectives, Famagusta, Cyprus
- New Horizons
- New paradigms in financial economics : how would Keynes reconstruct economics?
- New visions for market governance : crisis and renewal
- Next generation finance : adapting the financial services industry to changes in technology, regulation and consumer behaviour
- Nonlinear Economic Dynamics and Financial Modelling : Essays in Honour of Carl Chiarella
- Nonparametric Estimation of Educational Production and Costs using Data Envelopment Analysis
- Norway's Sovereign Wealth Fund : Sustainable Investment of Natural Resource Revenues
- Number
- Numerical partial differential equations in finance explained : an introduction to computational finance
- ODEON
- OECD business and finance outlook 2016
- OECD business and finance outlook 2017
- OECD business and finance outlook 2018
- Observations on the scheme of Mr. Law, in France, and of Sir Humphrey Mackworth, in Great-Britain : and concerning the establishing paper-money, and forcing credit
- Off the Target : The Stagnating Political Economy of Europe and Post-Pandemic Recovery
- Old-Age Provision and Homeownership - Fiscal Incentives and Other Public Policy Options
- On Informal Institutions and Accounting Behavior
- On Stochastic Optimization Problems and an Application in Finance
- On the road
- Operational risk management in banks : regulatory, organizational and strategic issues
- Option Pricing in Fractional Brownian Markets
- PBS NewsHour, Accounting alchemy, January 22, 2002
- PBS NewsHour, Ethics in corporate America, June 27, 2002
- PBS NewsHour, Ethics in corporate America, June 28, 2002