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Person
ISNI: 
0000 0001 0931 416X
Name: 
Altman, E. I.
Altman, Edward
Altman, Edward I.,
Altman, Edward I. (1st)
Altman, Edward Ira
アルトマン, E. I
アルトマン, エドワード・I
Dates: 
1941-
Creation class: 
article
cre
Language material
Text
txt
Creation role: 
author
contributor
editor
redactor
Related names: 
Hotchkiss, Edith (1961- ))
Jacquillat, Bertrand (1944-....))
Leonard N. Stern School of Business
Levasseur, Michel (1949-....))
McKinney, Mary Jane
Murrin, Jack
Nammacher, Scott A.
Sironi, Andrea
Subrahmanyam, Marti G. (1946-)
Tabor, Stanisław
Tabor, tłumacz
University of California, Los Angeles
Vanderhoof, Irwin T.
黒沢, 義孝 (1943-)
Titles: 
Advanced IT tools : IFIP World Conference on IT Tools, 2-6 September 1996, Canberra, Australia
Application of classification techniques in business, banking and finance
Bankruptcy, credit risk, and high yield junk bonds
Bankruptcy & distressed restructurings : Analytical issues and investment opportunities
Corporate bankruptcy in America
Corporate financial distress a complete guide to predicting, avoiding, and dealing with bankruptcy
Credit analysis of nontraditional debt securities : December 7, 1994, Philadelphia, Pennsylvania
Credit risk assessment and relationship lending
Estimation du risque de l'investissement en valeurs mobilières sur la Bourse de Paris 1964-1971, L'
fair value of insurance liabilities, The
Financial crises : institutions and markets in a fragile environment [Papers presented at a conference held at New York University, May 20-21, 1976]
financial dynamics of the insurance industry, The
Financial handbook
High-yield bonds : analysis and risk assessment : January 24, 1990, Cambridge, Massachusetts
High-yield debt market : investment performance and economic impact
Investing in junk bonds : inside the high yield debt market
Janku bondo
Kigyō tōsan
Kurejitto risuku manejimento
link between default and recovery rates effects on the procyclicality of regulatory capital ratios, The
Managing credit risk the next great financial challenge
Mark-to-Market and Present Value Disclosure : An Opportunity or a Costly Annoyance?
Measuring and Managing Risk. Emerging Global Standards and Regulations After the Financial Crisis
Obligatiebeleggingen
prediction of corporate bankruptcy, The ; a discriminant analysis
Recent advances in corporate finance
Recovery Risk
Rentabilité et le risque des secteurs industriels à la Bourse de Paris, La : 1962-1971
Stanovení hodnoty firem
Trudności finansowe a upadłość firm : jak przewidzieć upadłość i jej uniknąć, jak analizować i inwestować w zadłużenie firm zagrożonych
Validité de la méthode des ratios
クレジットリスクマネジメント
ジャンク・ボンド : 高利回り債券の投資戦略
企業倒産
現代大企業の倒産 : その原因と予知モデルの包括的研究
Contributed to or performed: 
FINANCIAL ANALYSTS JOURNAL
Notes: 
Vita
Thesis--University of California, Los Angeles
Sources: 
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