Physical Collection
Digital Collection
Database / E-Book
Feedback
Collection Recommendation
Satisfaction survey
Please take a moment to complete this survey below
Library's collection
Library's IT development
Cancel
The psychology of risk : mastering market uncertainty
Author
Kiev, Ari
Additional Author(s)
-
Publisher
New York: John Wiley & Sons, Inc , 2002
Language
English
ISBN
0471403873
Series
-
Subject(s)
RISK MANAGEMENT
INVESTMENTS-PSYCHOLOGICAL ASPECTS
PORTFOLIO MANAGEMENT
Notes
Index: p. 289-292
Abstract
-
Physical Dimension
Number of Page(s)
xi, 292 p.
Dimension
24 cm.
Other Desc.
-
Summary / Review / Table of Content
No summary / review / table of content available!
Exemplar(s)
#
Accession No.
Call Number
Location
Status
1.
03992/06
- 332.6019 Kie P
Library - 7th Floor
Available
Similar Collection
by author or subject
Financial risk manager handbook
Financial institutions management
Perancangan dokumen hazard identification risk assessment and risk control (HIRARC) untuk mengurangi potensi resiko bahaya pada PT. X
Principles of risk management and insurance
Analisa pengaruh inflasi, suku bunga, dan nilai tukar mata uang terhadap return saham (studi kasus pada saham-saham indeks LQ 45 di BEJ periode Agustus 2002-Juli 2005)
Perbedaan abnormal return perusahaan-perusahaan terdaftar di BEJ pada tahun 2000-2002 sebelum dan sesudah pengumuman merger dan akuisisi
Single point of failure
Investment analysis and portfolio management