Contabilidad de costos RS Polimeni, F Fabozzi, A Adelberg, M Kole McGraw-Hill, 1994 | 1702 | 1994 |
Bond markets, analysis, and strategies FJ Fabozzi, FA Fabozzi MIT Press, 2021 | 1459 | 2021 |
The handbook of fixed income securities FJ Fabozzi, SV Mann New York, 2005 | 1002 | 2005 |
Capital markets: institutions and instruments FJ Fabozzi, F Modigliani (No Title), 2003 | 958 | 2003 |
Robust portfolio optimization and management FJ Fabozzi, PN Kolm, DA Pachamanova, SM Focardi John Wiley & Sons, 2007 | 865 | 2007 |
Project financing PK Nevitt, FJ Fabozzi Euromoney books, 2021 | 855 | 2021 |
60 years of portfolio optimization: Practical challenges and current trends PN Kolm, R Tütüncü, FJ Fabozzi European Journal of Operational Research 234 (2), 356-371, 2014 | 707 | 2014 |
Beta as a random coefficient FJ Fabozzi, JC Francis Journal of Financial and Quantitative Analysis 13 (1), 101-116, 1978 | 656 | 1978 |
Financial management and analysis FJ Fabozzi, PP Peterson John Wiley & Sons, 2003 | 655 | 2003 |
The legacy of modern portfolio theory FJ Fabozzi, F Gupta, HM Markowitz The journal of investing 11 (3), 7-22, 2002 | 642 | 2002 |
Mercados e instituciones financieras FJ Fabozzi, F Modigliani, MG Ferri Pearson Educación, 1996 | 570 | 1996 |
Stability tests for alphas and betas over bull and bear market conditions FJ Fabozzi, JC Francis The Journal of Finance 32 (4), 1093-1099, 1977 | 555 | 1977 |
Manajemen investasi FJ Fabozzi Salemba Empat, 1999 | 539 | 1999 |
Foundations financial markets and institutions F Fabozzi, F Modigliani, F Jones Pearson, 2014 | 526 | 2014 |
Investment management FJ Fabozzi (No Title), 1995 | 512 | 1995 |
Bayesian methods in finance ST Rachev, JSJ Hsu, BS Bagasheva, FJ Fabozzi John Wiley & Sons, 2008 | 495* | 2008 |
Fat-tailed and skewed asset return distributions: implications for risk management, portfolio selection, and option pricing ST Rachev, C Menn, FJ Fabozzi John Wiley & Sons, 2005 | 480 | 2005 |
Sin stock returns FJ Fabozzi, KC Ma, BJ Oliphant The Journal of Portfolio Management 35 (1), 82-94, 2008 | 472 | 2008 |
Size, value, and momentum in emerging market stock returns N Cakici, FJ Fabozzi, S Tan Emerging Markets Review 16, 46-65, 2013 | 452 | 2013 |
Operational risk: a guide to Basel II capital requirements, models, and analysis AS Chernobai, ST Rachev, FJ Fabozzi John Wiley & Sons, 2008 | 426 | 2008 |