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Performance Measurement in the eCommerce Industry.
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Value at Risk Models for a Nonlinear Hedged Portfolio
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A Study of Several Statistical Methods for Classification with Application to Microbial Source Tracking
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HISTORICAL RISK ASSESSMENT OF A BALANCED PORTFOLIO USING VALUE-AT-RISK
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Analysis of Mesh Strategies for Rapid Source Location in Chemical/Biological Attacks
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Transaction costs and resampling in mean-variance portfolio optimization
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Evaluating of path-dependent securities with low discrepancy methods
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Enhanced Singular Function Mortar Finite Element Methods
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Resident Student Perceptions of On-Campus Living and Study Environments at the University of Namibia and their Relation to Academic Performance
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Portfolio Construction and Risk Management: Practical Issues and Examples
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