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Visualizzazione di 181 - 240 libri su 380
Methodological Dimension of Islamic Economics
Masudul Alam Choudhury
2019
Economics Gone Astray
Bluford H Putnam, Erik Norland;K T Arasu
2019
Fiscal Resilience to Natural Disasters
OECD, World Bank
2019
Trade Credit and Financing Instruments
Lucia Gibilaro
2018
Trade Credit and Risk Management
Lucia Gibilaro
2018
Understanding Financial Stability
Indranarain Ramlall
2018
Understanding Cryptocurrencies
Arvind Matharu
2018
Credit Default Swaps
Christopher L. Culp, Andria van der Merwe, Bettina J. Stärkle
2018
Governance and Regulations
2018
The Price System
David Michael Beechwood
2018
Evaluating Country Risks for International Investments
Ephraim Clark
2017
The Mathematics of Options
Michael C. Thomsett
2017
Credit Risk Management for Derivatives
Ivan Zelenko
2017
Rogues of Wall Street
Andrew Waxman
2017
Redefining Risk & Return
Jesper Lyng Jensen, Susanne Sublett
2017
Handbook on Anti-Money Laundering and Combating the Financing of Terrorism for Nonbank Financial Institutions
2017
Bank Regulation
2017
Securitization and the Global Economy
Bonnie G. Buchanan
2016
The Economic Foundations of Risk Management
Robert Jarrow
2016
Risk Management in Emerging Markets
2016
Peer-to-Peer Lending with Chinese Characteristics: Development, Regulation and Outlook
Shanghai Finance Institute PtoP Research Group
2016
Finance and the Behavioral Prospect
James Ming Chen
2016
Debt and Distortion
Paul Armstrong-Taylor
2016
Global Risk Agility and Decision Making
Daniel Wagner, Dante Disparte
2016
Managing Communications in a Crisis
Peter Ruff, Khalid Aziz
2016
Financial Instability
V. D'Apice, G. Ferri
2016
Global Financial Crisis
Paolo Savona, Chiara Oldani
2016
Managing Uncertainty, Mitigating Risk
Nick Firoozye, Fauziah Ariff
2016
Corporate Fraud and Corruption
M. Krambia-Kapardis
2016
Managing Operational Risk
Douglas Robertson
2016
The XVA of Financial Derivatives: CVA, DVA and FVA Explained
Dongsheng Lu
2016
Advances in Financial Risk Management
Jonathan A. Batten, Peter MacKay
2015
Risk Management in the Polish Financial System
Marian Noga, Konrad Raczkowski, Jarosław Klepacki
2015
Basel III, Risikomanagement und neue Bankenaufsicht
Gerhard Hofmann
2015
Financial Regulation and Compliance
H. David Kotz
2015
XVA Desks - A New Era for Risk Management
I. Ruiz
2015
An Option Greeks Primer
Jawwad Farid
2015
Futures, Swaps, Options
Alain Ruttiens
2015
Managing Risks in the European Periphery Debt Crisis
G. Christodoulakis
2014
Interest Rate Derivatives Explained
J. Kienitz
2014
Contemporary Challenges in Risk Management
2014
Summary: Taking Smart Risks
BusinessNews Publishing
2014
The Pillars of Finance
G. Fraser-Sampson
2014
Private Company Valuation
G. Oricchio
2012
Risk Intelligence
Dylan Evans
2012
Pandora's Risk
Kent Osband
2011
Risk Tolerance in Financial Decision Making
2010
Quantification of Operational Risk under Basel II
I. Moosa
2008
Risk Dilemmas
M. Jablonowski
2007
Operational Risk Management
I. Moosa
2007
Managing Projects for Value
John C. Goodpasture
2001
Acquisition Management
R. M. Engelbeck
2001
Pensare come Amazon
John Rossman
Climate Change Enterprise Risk Management
Martin Massey
2022
Organizations, Strategic Risk Management and Resilience
Patrizia Gazzola, Enrica Pavione, Ilaria Pessina
2022
Trading at the Speed of Light
Donald MacKenzie
2021
Understanding Financial Risk Management
Angelo Corelli
2019
Think and Grow Rich - 1937 Original Masterpiece
Napoleon Hill
Working Efficiently in the Home Office
Simone Janson
2024
Virtual Leadership
Simone Janson
2024
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