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Financial risk.

[NT 60487] Overview
[NT 60478] Works: 10 [NT 60520] works in 8 [NT 60521] publications in 1 [NT 60522] languages
[NT 60480] Titles
Measuring and managing liquidity risk [NT 59711] by: Castagna, Antonio; Fede, Francesco ([NT 1579] Language materials, printed)
Risk, risk management and regulation in the banking industry : the risk to come [NT 59711] by: Pelzer, Peter ([NT 1579] Language materials, printed)
Auditing : a business risk approach [NT 59711] by: Gramling, Audrey A.; Johnstone, Karla M.; Rittenberg, Larry E. ([NT 1579] Language materials, printed)
Treasury finance and development banking : a guide to credit, debt, and risk [NT 59711] by: Mazzi, Biagio ([NT 1579] Language materials, printed)
Investment risk management [NT 59711] by: Baker, H. Kent (1944-); Filbeck, Greg ([NT 1579] Language materials, printed)
Valuation and risk management in energy markets [NT 59711] by: Swindle, Glen ([NT 1579] Language materials, printed)
Risk, risk management and regulation in the banking industry : the risk to come [NT 59711] by: Pelzer, Peter. ([NT 1579] Language materials, printed)
Managing risk and uncertainty : a strategic approach [NT 59711] by: Friberg, Richard (1967-) ([NT 1579] Language materials, printed)
Postmodern portfolio theory : navigating abnormal markets and investor behavior [NT 59711] by: Chen, Jim (1966-) ([NT 1579] Language materials, printed)
When prime brokers fail : the unheeded risk to hedge funds, banks, and the financial industry [NT 59711] by: Aikman, J. S. ([NT 1579] Language materials, printed)
 
 
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