Browsing “Risk Assessment & Management” (Showing 341 - 360 of 814 results)

Subjects

  • The Greek Debt Crisis

    In Quest of Growth in Times of Austerity
    by Author
    • Format: Fixed
    • From $47.70 USD
  • Risk Management Competency Development in Banks

    An Integrated Approach
    by Eric H.Y. Koh
    • Format: Reflowable
    • From $16.50 USD
  • Shadow Banking

    The Rise, Risks, and Rewards of Non-Bank Financial Services
    by Roy J. Girasa
    • Format: Reflowable
    • From $44.70 USD
  • Success in a Low-Return World

    Using Risk Management and Behavioral Finance to Achieve Market Outperformance
    by Michael J. Oyster
    • Format: Reflowable
    • From $10.50 USD
  • Simulating Security Returns

    A Filtered Historical Simulation Approach
    by Giovanni Barone Adesi
    • Format: Reflowable
    • From $16.50 USD
  • Modelling German Covered Bonds

    by Manuela Spangler
    • Format: Fixed
    • From $19.50 USD
  • Microcredit Guarantee Funds in the Mediterranean

    A Comparative Analysis
    by P. Leone; P. Porretta
    • Format: Reflowable
    • From $16.50 USD
  • The Changing Role of Central Banks

    by D. Chorafas
    • Format: Reflowable
    • From $16.50 USD
  • Financing Illegal Migration

    Chinese Underground Banks and Human Smuggling in New York City
    by Linda Zhao
    • Format: Reflowable
    • From $16.50 USD
  • Banks, Bankers, and Bankruptcies Under Crisis

    Understanding Failure and Mergers During the Great Recession
    by D. Chorafas
    • Format: Reflowable
    • From $29.70 USD
  • The Palgrave Handbook of Unconventional Risk Transfer

    • Format: Fixed
    • From $71.70 USD
  • The Handbook of Global Shadow Banking, Volume I

    From Policy to Regulation
    by Luc Nijs
    • Format: Reflowable
    • From $26.70 USD
  • Teachers Can Be Financially Fit

    Economists’ Advice for Educators
    by Tawni Hunt Ferrarini; M. Scott Niederjohn; Mark C. Schug; William C. Wood
    • Format: Reflowable
    • From $7.50 USD
  • Quantitative Corporate Finance

    by John B. Guerard Jr.; Anureet Saxena; Mustafa Gultekin
    • Edition: 2nd
    • Format: Reflowable
    • From $19.50 USD
  • Marktrisiken

    Portfoliotheorie und Risikomaße
    by Jürgen Kremer
    • Format: Reflowable
    • From $6.00 USD
  • Governance, Risk and Financial Impact of Mega Disasters

    Lessons from Japan
    • Format: Reflowable
    • From $38.70 USD
  • Banking in Europe

    The Quest for Profitability after the Great Financial Crisis
    by Mariarosa Borroni; Simone Rossi
    • Format: Reflowable
    • From $16.50 USD
  • Risk Measures and Insurance Solvency Benchmarks

    Fixed-Probability Levels in Renewal Risk Models
    by Vsevolod K. Malinovskii
    • Edition: 1st
    • Format: Reflowable
    • From $34.10 USD
  • Practical Schedule Risk Analysis

    by Hulett, David, Dr
    • Format: Reflowable
    • From $65.98 USD
  • The Tightrope

    by Mr Nigel Iyer
    • Format: Reflowable
    • From $10.98 USD
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