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M & A : a practical guide to doing the deal / / Jeffrey C. Hooke
M & A : a practical guide to doing the deal / / Jeffrey C. Hooke
Autore Hooke Jeffrey C.
Edizione [Second edition.]
Pubbl/distr/stampa Hoboken, New Jersey : , : Wiley, , [2015]
Descrizione fisica 1 online resource (227 p.)
Disciplina 658.1/62
Collana Wiley finance series
Soggetto topico Consolidation and merger of corporations - Finance
Soggetto genere / forma Electronic books.
ISBN 1-118-81701-X
1-118-81704-4
Classificazione BUS017000
Formato Materiale a stampa
Livello bibliografico Monografia
Lingua di pubblicazione eng
Nota di contenuto Machine generated contents note: Preface Part One: The Big Picture Chapter 1: The Global M&A Market Chapter 2: Comparing M&A Trends in the U.S. and Other Nations Chapter 3: The Buyer's Viewpoint Chapter 4: Three Financial Tactics Part Two: Finding a Deal Chapter 5: Finding a Deal: The Importance of a Plan Chapter 6: Finding a Deal: Defining the Search Parameters Chapter 7: Finding a Deal: Starting the Search Chapter 8: Finding a Deal: Likely Results of a Search Chapter 9: Key Risks Part Three: Target Financial Analysis Chapter 10: Historical Financial Analysis Chapter 11: Company Classifications Chapter 12: Financial Projections, Stand-Alone Part Four: Acquisition Valuation Chapter 13: Valuation Methodologies Chapter 14: Discounted Cash Flow in M&A Valuation Chapter 15: Comparable Public Companies and Valuation Chapter 16: Comparable M&A Deals, Leveraged Buyouts and Valuation Chapter 17: Special Cases in Valuation Part Five: Combination, the Sale Process, Structures and Special Situations Chapter 18: Buyer and Seller Financial Combination Chapter 19: When to Sell a Company or Division Chapter 20: Going through a Sale Process Chapter 21: Legal and Tax Structures Chapter 22: Special Situations Chapter 23: Final Thoughts About the Author Index.
Record Nr. UNINA-9910459899203321
Hooke Jeffrey C.  
Hoboken, New Jersey : , : Wiley, , [2015]
Materiale a stampa
Lo trovi qui: Univ. Federico II
Opac: Controlla la disponibilità qui
M & A : a practical guide to doing the deal / / Jeffrey C. Hooke
M & A : a practical guide to doing the deal / / Jeffrey C. Hooke
Autore Hooke Jeffrey C.
Edizione [Second edition.]
Pubbl/distr/stampa Hoboken, New Jersey : , : Wiley, , [2015]
Descrizione fisica 1 online resource (227 p.)
Disciplina 658.1/62
Collana Wiley finance series
Soggetto topico Consolidation and merger of corporations - Finance
ISBN 1-118-81701-X
1-118-81704-4
Classificazione BUS017000
Formato Materiale a stampa
Livello bibliografico Monografia
Lingua di pubblicazione eng
Nota di contenuto Machine generated contents note: Preface Part One: The Big Picture Chapter 1: The Global M&A Market Chapter 2: Comparing M&A Trends in the U.S. and Other Nations Chapter 3: The Buyer's Viewpoint Chapter 4: Three Financial Tactics Part Two: Finding a Deal Chapter 5: Finding a Deal: The Importance of a Plan Chapter 6: Finding a Deal: Defining the Search Parameters Chapter 7: Finding a Deal: Starting the Search Chapter 8: Finding a Deal: Likely Results of a Search Chapter 9: Key Risks Part Three: Target Financial Analysis Chapter 10: Historical Financial Analysis Chapter 11: Company Classifications Chapter 12: Financial Projections, Stand-Alone Part Four: Acquisition Valuation Chapter 13: Valuation Methodologies Chapter 14: Discounted Cash Flow in M&A Valuation Chapter 15: Comparable Public Companies and Valuation Chapter 16: Comparable M&A Deals, Leveraged Buyouts and Valuation Chapter 17: Special Cases in Valuation Part Five: Combination, the Sale Process, Structures and Special Situations Chapter 18: Buyer and Seller Financial Combination Chapter 19: When to Sell a Company or Division Chapter 20: Going through a Sale Process Chapter 21: Legal and Tax Structures Chapter 22: Special Situations Chapter 23: Final Thoughts About the Author Index.
Record Nr. UNINA-9910787246203321
Hooke Jeffrey C.  
Hoboken, New Jersey : , : Wiley, , [2015]
Materiale a stampa
Lo trovi qui: Univ. Federico II
Opac: Controlla la disponibilità qui
M & A : a practical guide to doing the deal / / Jeffrey C. Hooke
M & A : a practical guide to doing the deal / / Jeffrey C. Hooke
Autore Hooke Jeffrey C.
Edizione [Second edition.]
Pubbl/distr/stampa Hoboken, New Jersey : , : Wiley, , [2015]
Descrizione fisica 1 online resource (227 p.)
Disciplina 658.1/62
Collana Wiley finance series
Soggetto topico Consolidation and merger of corporations - Finance
ISBN 1-118-81701-X
1-118-81704-4
Classificazione BUS017000
Formato Materiale a stampa
Livello bibliografico Monografia
Lingua di pubblicazione eng
Nota di contenuto Machine generated contents note: Preface Part One: The Big Picture Chapter 1: The Global M&A Market Chapter 2: Comparing M&A Trends in the U.S. and Other Nations Chapter 3: The Buyer's Viewpoint Chapter 4: Three Financial Tactics Part Two: Finding a Deal Chapter 5: Finding a Deal: The Importance of a Plan Chapter 6: Finding a Deal: Defining the Search Parameters Chapter 7: Finding a Deal: Starting the Search Chapter 8: Finding a Deal: Likely Results of a Search Chapter 9: Key Risks Part Three: Target Financial Analysis Chapter 10: Historical Financial Analysis Chapter 11: Company Classifications Chapter 12: Financial Projections, Stand-Alone Part Four: Acquisition Valuation Chapter 13: Valuation Methodologies Chapter 14: Discounted Cash Flow in M&A Valuation Chapter 15: Comparable Public Companies and Valuation Chapter 16: Comparable M&A Deals, Leveraged Buyouts and Valuation Chapter 17: Special Cases in Valuation Part Five: Combination, the Sale Process, Structures and Special Situations Chapter 18: Buyer and Seller Financial Combination Chapter 19: When to Sell a Company or Division Chapter 20: Going through a Sale Process Chapter 21: Legal and Tax Structures Chapter 22: Special Situations Chapter 23: Final Thoughts About the Author Index.
Record Nr. UNINA-9910823868403321
Hooke Jeffrey C.  
Hoboken, New Jersey : , : Wiley, , [2015]
Materiale a stampa
Lo trovi qui: Univ. Federico II
Opac: Controlla la disponibilità qui
Private capital markets : valuation, capitalization, and transfer of private business interests / / Robert T. Slee
Private capital markets : valuation, capitalization, and transfer of private business interests / / Robert T. Slee
Autore Slee Robert T
Edizione [2nd ed.]
Pubbl/distr/stampa Hoboken, N.J., : Wiley, c2011
Descrizione fisica 1 online resource (635 p.)
Disciplina 332/.041
Soggetto topico Corporations
Private companies - Finance
Capital investments
ISBN 1-118-07545-5
1-119-20093-8
1-283-37468-4
9786613374684
1-118-07542-0
Classificazione BUS017000
Formato Materiale a stampa
Livello bibliografico Monografia
Lingua di pubblicazione eng
Nota di contenuto pt. 1. Business valuation -- pt. 2. Capital structure -- pt. 3. Business transfer.
Record Nr. UNINA-9910139567803321
Slee Robert T  
Hoboken, N.J., : Wiley, c2011
Materiale a stampa
Lo trovi qui: Univ. Federico II
Opac: Controlla la disponibilità qui
Risk management in trading : techniques to drive profitability of hedge funds and trading desks / / Davis Edwards
Risk management in trading : techniques to drive profitability of hedge funds and trading desks / / Davis Edwards
Autore Edwards Davis W.
Edizione [1st edition]
Pubbl/distr/stampa Hoboken, New Jersey : , : Wiley, , 2014
Descrizione fisica 1 online resource (320 p.)
Disciplina 332.64/524
Collana Wiley Finance Series
Soggetto topico Risk management
Investment banking
Hedge funds
ISBN 1-118-77284-9
1-118-81969-1
1-118-77285-7
Classificazione BUS017000
Formato Materiale a stampa
Livello bibliografico Monografia
Lingua di pubblicazione eng
Nota di contenuto Machine generated contents note: Preface Chapter 1: Trading and Hedge Funds Chapter 2: Financial Markets Chapter 3: Financial Mathematics Chapter 4: Backtesting and Trade Forensics Chapter 5: Mark to Market Chapter 6: Value-at-Risk Chapter 7: Hedging Chapter 8: Options, Greeks, and Non-Linear Risks Chapter 9: Credit Value Adjustments (CVA) Afterword Answer Key About the Author Index .
Record Nr. UNINA-9910132191803321
Edwards Davis W.  
Hoboken, New Jersey : , : Wiley, , 2014
Materiale a stampa
Lo trovi qui: Univ. Federico II
Opac: Controlla la disponibilità qui
Risk management in trading : techniques to drive profitability of hedge funds and trading desks / / Davis Edwards
Risk management in trading : techniques to drive profitability of hedge funds and trading desks / / Davis Edwards
Autore Edwards Davis W.
Edizione [1st edition]
Pubbl/distr/stampa Hoboken, New Jersey : , : Wiley, , 2014
Descrizione fisica 1 online resource (320 p.)
Disciplina 332.64/524
Collana Wiley Finance Series
Soggetto topico Risk management
Investment banking
Hedge funds
ISBN 1-118-77284-9
1-118-81969-1
1-118-77285-7
Classificazione BUS017000
Formato Materiale a stampa
Livello bibliografico Monografia
Lingua di pubblicazione eng
Nota di contenuto Machine generated contents note: Preface Chapter 1: Trading and Hedge Funds Chapter 2: Financial Markets Chapter 3: Financial Mathematics Chapter 4: Backtesting and Trade Forensics Chapter 5: Mark to Market Chapter 6: Value-at-Risk Chapter 7: Hedging Chapter 8: Options, Greeks, and Non-Linear Risks Chapter 9: Credit Value Adjustments (CVA) Afterword Answer Key About the Author Index .
Record Nr. UNINA-9910821961903321
Edwards Davis W.  
Hoboken, New Jersey : , : Wiley, , 2014
Materiale a stampa
Lo trovi qui: Univ. Federico II
Opac: Controlla la disponibilità qui
Strategic business transformation [[electronic resource] ] : the 7 deadly sins to overcome / / Mohan Nair
Strategic business transformation [[electronic resource] ] : the 7 deadly sins to overcome / / Mohan Nair
Autore Nair Mohan
Pubbl/distr/stampa Hoboken, N.J., : Wiley, c2011
Descrizione fisica 1 online resource (238 p.)
Disciplina 658.4/06
658.406
Soggetto topico Organizational change
Strategic planning
Success in business
ISBN 1-118-13445-1
1-119-20034-2
1-283-25803-X
9786613258038
1-118-13443-5
Classificazione BUS017000
Formato Materiale a stampa
Livello bibliografico Monografia
Lingua di pubblicazione eng
Nota di contenuto Strategic Business Transformation: THE 7 DEADLY SINS TO OVERCOME; Contents; Preface; Acknowledgments; CHAPTER 1: Overview; CHAPTER 2: Strategic Business Transformation: Seven Sins to Overcome; CHAPTER 3: Sin #1: Ignoring the New Principles of Business Transformation; CHAPTER 4: Sin #2: Driving without a Cause; CHAPTER 5: Sin #3: Missing Market Momentum; CHAPTER 6: Sin #4: Ignoring the Two Orders of Value; CHAPTER 7: Sin #5: Overlooking Transformational Servant Leadership; CHAPTER 8: Sin #6: Mistaking Capability for Strategic Competency
CHAPTER 9: Sin #7: Expecting Flawless Execution without a Performance PlatformCHAPTER 10: Tales of Transformation; Glossary; Suggested Reading; About the Author; Index
Record Nr. UNINA-9910139581603321
Nair Mohan  
Hoboken, N.J., : Wiley, c2011
Materiale a stampa
Lo trovi qui: Univ. Federico II
Opac: Controlla la disponibilità qui
Strategic business transformation : the 7 deadly sins to overcome / / Mohan Nair
Strategic business transformation : the 7 deadly sins to overcome / / Mohan Nair
Autore Nair Mohan
Edizione [1st ed.]
Pubbl/distr/stampa Hoboken, N.J., : Wiley, c2011
Descrizione fisica 1 online resource (238 p.)
Disciplina 658.4/06
Soggetto topico Organizational change
Strategic planning
Success in business
ISBN 1-118-13445-1
1-119-20034-2
1-283-25803-X
9786613258038
1-118-13443-5
Classificazione BUS017000
Formato Materiale a stampa
Livello bibliografico Monografia
Lingua di pubblicazione eng
Nota di contenuto Strategic Business Transformation: THE 7 DEADLY SINS TO OVERCOME; Contents; Preface; Acknowledgments; CHAPTER 1: Overview; CHAPTER 2: Strategic Business Transformation: Seven Sins to Overcome; CHAPTER 3: Sin #1: Ignoring the New Principles of Business Transformation; CHAPTER 4: Sin #2: Driving without a Cause; CHAPTER 5: Sin #3: Missing Market Momentum; CHAPTER 6: Sin #4: Ignoring the Two Orders of Value; CHAPTER 7: Sin #5: Overlooking Transformational Servant Leadership; CHAPTER 8: Sin #6: Mistaking Capability for Strategic Competency
CHAPTER 9: Sin #7: Expecting Flawless Execution without a Performance PlatformCHAPTER 10: Tales of Transformation; Glossary; Suggested Reading; About the Author; Index
Record Nr. UNINA-9910819161603321
Nair Mohan  
Hoboken, N.J., : Wiley, c2011
Materiale a stampa
Lo trovi qui: Univ. Federico II
Opac: Controlla la disponibilità qui
Winning at risk [[electronic resource] ] : strategies to go beyond Basel / / Annetta Cortez
Winning at risk [[electronic resource] ] : strategies to go beyond Basel / / Annetta Cortez
Autore Cortez Annetta
Pubbl/distr/stampa Hoboken, N.J., : Wiley, 2011
Descrizione fisica 1 online resource (274 p.)
Disciplina 332.1068/1
Collana Wiley finance series
Soggetto topico Risk management
Portfolio management
Financial services industry
ISBN 1-283-37483-8
9786613374837
1-118-07826-8
Classificazione BUS017000
Formato Materiale a stampa
Livello bibliografico Monografia
Lingua di pubblicazione eng
Nota di contenuto Winning at Risk: Strategies to Go Beyond Basel; Contents; Foreword; Preface; Acknowledgments; Introduction; SEARCHING FOR A SOLUTION; WHY MANAGE RISK?; WHY IS RISK MANAGEMENT DIFFICULT TO IMPLEMENT?; 1 What is Risk?; THE BUSINESS OF RISK; DEFINING RISK: LOSS, UNCERTAINTY, AND HORIZON; MORE WAYS TO THINK ABOUT RISK; TAXONOMY OF RISKS; RISK AND REWARD: MODERN PORTFOLIO THEORY; 2 Risk Management Principles; WORDS TO LIVE BY; KNOW YOUR RISKS; ARTICULATE YOUR RISK APPETITE; DEVELOP A WELL-DEFINED RISK CULTURE; USE A COMMON LANGUAGE
DEVELOP CAPABILITIES AND APPROACHES IN LINE WITH THE SIZE, COMPLEXITY, AND CULTURE OF YOUR ORGANIZATION MAKE IT TRANSPARENT AND COMPREHENSIVE; CONSTRUCT CLEAR LIMITS AND CONTROLS; ALIGN PERFORMANCE AND INCENTIVES TO RISK AND REWARD; DEVELOP COMPREHENSIVE FORECASTING, STRESS TESTING, AND CHALLENGE PROCESSES; PROVIDE ACTIVE LEADERSHIP AND DIRECTION; CONSTRUCT STRONG GOVERNANCE AND OVERSIGHT; MAKE CONTINUOUS IMPROVEMENTS; 3 Building the Risk-Management Framework; ALL THE RIGHT ELEMENTS; YOUR RISK MANAGEMENT ORGANIZATION; YOUR RISK CULTURE; YOUR GOVERNANCE MODEL; YOUR POLICIES AND PROCESSES
YOUR DATA AND SYSTEMS 4 Measuring Risk and Capital; WHY MEASURE RISK?; LAYING OUT THE FUNDAMENTALS, FROM THE TOP DOWN; PROBABILITY, EXPOSURE, AND SEVERITY; PROBABILITY DISTRIBUTIONS; EXPECTED LOSS; UNEXPECTED LOSS AND VALUE AT RISK; ECONOMIC CAPITAL; THE ROLE OF DATA AND ASSUMPTIONS; MANAGING ACROSS THE ECONOMIC CYCLE; STRESS TESTING; VALIDATION OF MODELS; MODELING CREDIT RISK; MODELING MARKET RISK; MODELING OPERATIONAL RISK; JUMP DIFFUSION AND EXTREME VALUE THEORY; 5 Managing Trade-Offs Between Risk and Reward; THE CEO CHALLENGE; PERFORMANCE MEASURES-THE BASICS
PERFORMANCE MEASURES-MULTI-PERIOD CALCULATIONS CAPITAL ATTRIBUTION AND ALLOCATION; APPLYING PERFORMANCE MEASURES; TOP-DOWN VERSUS BOTTOM-UP; 6 Understanding Your Appetite for Risk; IDENTIFYING THE RISK APPETITE; RISK APPETITE AND ICAAP; BUILDING THE RISK APPETITE STATEMENT; MANAGING THE RISK APPETITE (PROCESS); GOVERNANCE AND RISK APPETITE; THE LIVING WILL; 7 Integrating Risk Management into Your Organization; EMBEDDING RISK MANAGEMENT; WHAT IS ENTERPRISE RISK MANAGEMENT?; CULTURE; INCENTIVES AND COMPENSATION; YOUR ORGANIZATION; LINES OF DEFENSE; REPORTING, MONITORING, AND DECISION-MAKING
LEVERAGING YOUR BUSINESS RHYTHM AND COSO; 8 Leveraging Risk for Business Excellence; MORE THAN COMPLIANCE; INTRODUCING THE CUSTOMER LIFE CYCLE; LEVERAGING THE UPSIDE; MANAGING THE DOWNSIDE; OPTIMIZATION; 9 Basel II and Beyond; BASEL II: WHAT'S IT ALL ABOUT?; THE REGULATOR VIEWPOINT; BASEL II BASICS; SPECIAL CHALLENGES AND REQUIREMENTS; IS IT WORTH IT?; KEY DIFFERENCES FROM ECONOMIC APPROACHES; BEYOND BASEL II: BASEL III AND REGULATORY REFORM; SOLVENCY II; IMPACTS ON FINANCIAL INSTITUTIONS AND FINANCIAL MARKETS; NON-BANK FINANCIAL INSTITUTIONS; TOO BIG TO FAIL; Afterword; About the Author
Index
Record Nr. UNINA-9910781445203321
Cortez Annetta  
Hoboken, N.J., : Wiley, 2011
Materiale a stampa
Lo trovi qui: Univ. Federico II
Opac: Controlla la disponibilità qui
Winning at risk : strategies to go beyond Basel / / Annetta Cortez
Winning at risk : strategies to go beyond Basel / / Annetta Cortez
Autore Cortez Annetta
Edizione [1st ed.]
Pubbl/distr/stampa Hoboken, N.J., : Wiley, 2011
Descrizione fisica 1 online resource (274 p.)
Disciplina 332.1068/1
Collana Wiley finance series
Soggetto topico Risk management
Portfolio management
Financial services industry
ISBN 1-283-37483-8
9786613374837
1-118-07826-8
Classificazione BUS017000
Formato Materiale a stampa
Livello bibliografico Monografia
Lingua di pubblicazione eng
Nota di contenuto Winning at Risk: Strategies to Go Beyond Basel; Contents; Foreword; Preface; Acknowledgments; Introduction; SEARCHING FOR A SOLUTION; WHY MANAGE RISK?; WHY IS RISK MANAGEMENT DIFFICULT TO IMPLEMENT?; 1 What is Risk?; THE BUSINESS OF RISK; DEFINING RISK: LOSS, UNCERTAINTY, AND HORIZON; MORE WAYS TO THINK ABOUT RISK; TAXONOMY OF RISKS; RISK AND REWARD: MODERN PORTFOLIO THEORY; 2 Risk Management Principles; WORDS TO LIVE BY; KNOW YOUR RISKS; ARTICULATE YOUR RISK APPETITE; DEVELOP A WELL-DEFINED RISK CULTURE; USE A COMMON LANGUAGE
DEVELOP CAPABILITIES AND APPROACHES IN LINE WITH THE SIZE, COMPLEXITY, AND CULTURE OF YOUR ORGANIZATION MAKE IT TRANSPARENT AND COMPREHENSIVE; CONSTRUCT CLEAR LIMITS AND CONTROLS; ALIGN PERFORMANCE AND INCENTIVES TO RISK AND REWARD; DEVELOP COMPREHENSIVE FORECASTING, STRESS TESTING, AND CHALLENGE PROCESSES; PROVIDE ACTIVE LEADERSHIP AND DIRECTION; CONSTRUCT STRONG GOVERNANCE AND OVERSIGHT; MAKE CONTINUOUS IMPROVEMENTS; 3 Building the Risk-Management Framework; ALL THE RIGHT ELEMENTS; YOUR RISK MANAGEMENT ORGANIZATION; YOUR RISK CULTURE; YOUR GOVERNANCE MODEL; YOUR POLICIES AND PROCESSES
YOUR DATA AND SYSTEMS 4 Measuring Risk and Capital; WHY MEASURE RISK?; LAYING OUT THE FUNDAMENTALS, FROM THE TOP DOWN; PROBABILITY, EXPOSURE, AND SEVERITY; PROBABILITY DISTRIBUTIONS; EXPECTED LOSS; UNEXPECTED LOSS AND VALUE AT RISK; ECONOMIC CAPITAL; THE ROLE OF DATA AND ASSUMPTIONS; MANAGING ACROSS THE ECONOMIC CYCLE; STRESS TESTING; VALIDATION OF MODELS; MODELING CREDIT RISK; MODELING MARKET RISK; MODELING OPERATIONAL RISK; JUMP DIFFUSION AND EXTREME VALUE THEORY; 5 Managing Trade-Offs Between Risk and Reward; THE CEO CHALLENGE; PERFORMANCE MEASURES-THE BASICS
PERFORMANCE MEASURES-MULTI-PERIOD CALCULATIONS CAPITAL ATTRIBUTION AND ALLOCATION; APPLYING PERFORMANCE MEASURES; TOP-DOWN VERSUS BOTTOM-UP; 6 Understanding Your Appetite for Risk; IDENTIFYING THE RISK APPETITE; RISK APPETITE AND ICAAP; BUILDING THE RISK APPETITE STATEMENT; MANAGING THE RISK APPETITE (PROCESS); GOVERNANCE AND RISK APPETITE; THE LIVING WILL; 7 Integrating Risk Management into Your Organization; EMBEDDING RISK MANAGEMENT; WHAT IS ENTERPRISE RISK MANAGEMENT?; CULTURE; INCENTIVES AND COMPENSATION; YOUR ORGANIZATION; LINES OF DEFENSE; REPORTING, MONITORING, AND DECISION-MAKING
LEVERAGING YOUR BUSINESS RHYTHM AND COSO; 8 Leveraging Risk for Business Excellence; MORE THAN COMPLIANCE; INTRODUCING THE CUSTOMER LIFE CYCLE; LEVERAGING THE UPSIDE; MANAGING THE DOWNSIDE; OPTIMIZATION; 9 Basel II and Beyond; BASEL II: WHAT'S IT ALL ABOUT?; THE REGULATOR VIEWPOINT; BASEL II BASICS; SPECIAL CHALLENGES AND REQUIREMENTS; IS IT WORTH IT?; KEY DIFFERENCES FROM ECONOMIC APPROACHES; BEYOND BASEL II: BASEL III AND REGULATORY REFORM; SOLVENCY II; IMPACTS ON FINANCIAL INSTITUTIONS AND FINANCIAL MARKETS; NON-BANK FINANCIAL INSTITUTIONS; TOO BIG TO FAIL; Afterword; About the Author
Index
Record Nr. UNINA-9910807396203321
Cortez Annetta  
Hoboken, N.J., : Wiley, 2011
Materiale a stampa
Lo trovi qui: Univ. Federico II
Opac: Controlla la disponibilità qui