xternal Debt And Empirical Models for Country Risk Assessment / Timur Han GÜR.
Publication details: Ankara: Sermaye Piyasası Kurulu, 1998.Edition: 1.BasımDescription: 158 SayfaISBN:- 975-6951-14-1
Item type | Current library | Call number | Status | Date due | Barcode |
---|---|---|---|---|---|
Book | AVUKAT YEKTA GÜNGÖR ÖZDEN KÜTÜPHANESİ | Yabancı Kaynaklar-66 (Browse shelf(Opens below)) | Not for loan | 005063 |
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Yabancı Kaynaklar-63 Incoterms 1990. | Yabancı Kaynaklar-64 Internatıonal Bar Association. | Yabancı Kaynaklar-65 Self Dıscıplıne In Fınacıal Instıtutıons / | Yabancı Kaynaklar-66 xternal Debt And Empirical Models for Country Risk Assessment / | Yabancı Kaynaklar-67 Openess to Change and Budgetory Controll in Turkish Banks / | Yabancı Kaynaklar-68 Price Performance of Initial Public Offerings in Turkey / | Yabancı Kaynaklar-69 Macroeconomic Asymmetries and Policy Interdepence Between Europe and The United States / |
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