Fabozzi, Frank J.
Fabozzi, Frank J., 1948-....
Fabozzi, Frank
Frank J. Fabozzi economist
VIAF ID: 61645157 (Personal)
Permalink: http://viaf.org/viaf/61645157
Preferred Forms
- 200 _ | ‡a Fabozzi ‡b Frank J. ‡f 1948-....
- 100 1 _ ‡a Fabozzi, Frank
- 100 1 _ ‡a Fabozzi, Frank J
- 100 1 _ ‡a Fabozzi, Frank J.
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- 100 1 _ ‡a Fabozzi, Frank J.
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- 100 1 _ ‡a Fabozzi, Frank J. ‡d 1948-
- 100 1 _ ‡a Fabozzi, Frank J., ‡d 1948-
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- 100 1 _ ‡a Fabozzi, Frank J., ‡d 1948-....
- 100 0 _ ‡a Frank J. Fabozzi ‡c economist
4xx's: Alternate Name Forms (20)
5xx's: Related Names (12)
- 510 2 _ ‡a City University of New York
- 510 2 _ ‡a EDHEC Business School ‡4 affi ‡4 https://d-nb.info/standards/elementset/gnd#affiliation ‡e Affiliation
- 510 2 _ ‡a Groupe EDHEC (École de Hautes Études Commerciales du Nord)
- 510 2 _ ‡a Groupe EDHEC (École de Hautes Études Commerciales du Nord) / Département Comptabilité, Droit, Finance et Économie
- 510 2 _ ‡a Groupe EDHEC (École de Hautes Études Commerciales du Nord) / EDHEC-Risk
- 510 2 _ ‡a John Wiley & Sons
- 510 2 _ ‡a School of Business Economics ‡g Baltimore, Md. ‡4 affi ‡4 https://d-nb.info/standards/elementset/gnd#affiliation ‡e Affiliation
- 510 2 _ ‡a Yale School of Management (New Haven, Conn.)
- 510 2 _ ‡a Yale School of Management ‡4 affi ‡4 https://d-nb.info/standards/elementset/gnd#affiliation ‡e Affiliation
- 510 2 _ ‡a ebrary, Inc
- 510 2 _ ‡a École des Hautes Études Commerciales du Nord (Lille; Nice)
- 510 2 _ ‡a 日本債券信用銀行
Works
Title | Sources |
---|---|
Active equity portfolio management | |
Advanced Stochastic Models, Risk Assessment, and Portfolio Optimization The Ideal Risk, Uncertainty, and Performance Measures | |
Advances & innovations in the bond and mortgage markets | |
Analysis of Financial Statements | |
Basics of Financial Econometrics Tools, Concepts, and Asset Management Applications | |
Bond markets, analysis and strategies | |
Capital Budgeting Theory and Practice | |
Collateralized Debt Obligations Structures and Analysis | |
Complete CFO Handbook From Accounting to Accountability | |
Contabilidad de costos : conceptos y aplicaciones para la toma de decisiones gerenciales | |
Credit Derivatives Instruments, Applications, and Pricing | |
Encyclopedia of financial models | |
Entrepreneurial finance and accounting for high-tech companies | |
Fat-Tailed and Skewed Asset Return Distributions Implications for Risk Management, Portfolio Selection, and Option Pricing | |
Financial Advice and Investment Decisions A Manifesto for Change | |
Financial Modeling of the Equity Market From CAPM to Cointegration | |
Fixed income analysis for the chartered financial analyst program | |
Fixed income mathematics | |
Foundations and Applications of the Time Value of Money | |
Foundations of financial markets and institutions | |
The Frank J. Fabozzi series. | |
Global Money Markets | |
Handbook of Commodity Investing | |
Handbook of Equity Style Management | |
Handbook of financial instruments | |
Handbook of fixed income securities | |
Handbook of Municipal Bonds | |
The Handbook of stock index futures and options | |
Handbook of Traditional and Alternative Investment Vehicles Investment Characteristics and Strategies | |
Interest Rate, Term Structure, and Valuation Modeling | |
International corporate finance, c1996: | |
Introduction to Securitization | |
Investing in asset-backed securities | |
Investing : the collected works of Martin L. Leibowitz | |
Investment management | |
Leveraged Finance Concepts, Methods, and Trading of High-Yield Bonds, Loans, and Derivatives | |
Measuring and controlling interest rate risk | |
Mortgage-Backed Securities Products, Structuring, and Analytical Techniques | |
The New high-yield debt market : a handbook for portfolio managers and analysts | |
Operational Risk A Guide to Basel II Capital Requirements, Models, and Analysis | |
Portfolio Construction and Analytics | |
A Probability Metrics Approach to Financial Risk Measures | |
Project financing | |
Quantitative Equity Investing Techniques and Strategies | |
Securities Finance Securities Lending and Repurchase Agreements | |
Shōkenka no senryaku to jitsumu. | |
Short Selling Strategies, Risks, and Rewards | |
Simulation and optimization in finance : modeling with MATLAB, @Risk, or VBA | |
Winning the interest rate game : a guide to debt options | |
Zarządzanie portfelem inwestycji finansowych przynoszących staly dochód |