Glantz, Morton books & textbook
Optimal Trading Strategies: Quantitative Approaches for Managing Market Impact and Trading Risk
Kissell, Robert Glantz, Morton
Amacom Books /2003T Hardcover / 382 Pages
isbn-10: 0814407242 / isbn-13: 9780814407240
Multi-Asset Risk Modeling: Techniques for a Global Economy in an Electronic and Algorithmic Trading Era
Glantz, Morton Kissell, Robert
Academic Press /2013-12-30 Hardcover / 544 Pages
isbn-10: 0124016901 / isbn-13: 9780124016903
The Banker's Handbook on Credit Risk: Implementing Basel II
Academic Press /2008-05-07 Hardcover / 432 Pages
isbn-10: 0123736668 / isbn-13: 9780123736666
Loan Risk Management: Strategies and Analytical Techniques for Commercial Bankers
Probus Professional Pub /1994-01-01 Hardcover
isbn-10: 1557383847 / isbn-13: 9781557383846
Navigating the Business Loan: Guidelines for Financiers, Small-Business Owners, and Entrepreneurs
Academic Press /2014-12-02 Paperback / 172 Pages
isbn-10: 0128016981 / isbn-13: 9780128016985
Credit Engineering for Bankers, Second Edition: A Practical Guide for Bank Lending by Glantz, Morton, Mun, Johnathan 2nd edition (2010) Hardcover
Academic Press / Unknown Binding
Managing Bank Risk: An Introduction to Broad-Base Credit Engineering
Academic Press /2002-12-18 Hardcover / 688 Pages
isbn-10: 0122857852 / isbn-13: 9780122857850
Scientific Financial Management: Advances in Financial Intelligence Capabilities for Corporate Valuation and Risk Assessment (with CD-ROM) by Morton Glantz (2000-01-15)
AMACOM / Hardcover
Credit Derivatives: Techniques to Manage Credit Risk for Financial Professionals (McGraw-Hill Financial Education Series)
Banks, Erik Glantz, Morton Siegel, Paul
McGraw-Hill /2006-10-10 Hardcover / 304 Pages
isbn-10: 0071453148 / isbn-13: 9780071453141