Risk Management, Financial Risk, Market Risk
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Showing 271 - 280 of total 312 results.- 271SCENARIO ANALYSIS IN RISK MANAGEMENT: THEORY AND PRACTICE IN FINANCE
Author(s): BERTRAND HASSANI
Publisher: SPRINGER (Publication Year:2016)
Subject(s): DECISION MAKING, FINANCE, OPERATION RESEARCH
Call No: 658.155 HAS
Accession No: 94507 - 272FINANCIAL RISK MANAGEMENT: IDENTIFICATION, MEASUREMENT AND MANAGEMENT
Author(s): FRANCISCO JAVIER POBLACION GARCIA
Publisher: PALGRAVE (Publication Year:2017)
Subject(s): FINANCE, RISK MANAGEMENT
Call No: 658.155 GAR
Accession No: 95149 - 273FINANCIAL RISK MANAGEMENT: IDENTIFICATION, MEASUREMENT AND MANAGEMENT
Author(s): FRANCISCO JAVIER POBLACION GARCIA
Publisher: PALGRAVE (Publication Year:2017)
Subject(s): FINANCE, RISK MANAGEMENT
Call No: 658.155 GAR
Accession No: 98557 - 274RISK MANAGEMENT, STRATEGIC THINKING AND LEADERSHIP IN THE FINANCIAL SERVICES INDUSTRY: A PROACTIVE APPROACH TO STRATEGIC THINKING.
Author(s): UMIT HACIOGLU, HASAN DINCER
Publisher: SPRINGER (Publication Year:2017)
Subject(s): FINANCE, RISK MANAGEMENT, LEADERSHIP
Call No: 658.155 DIN
Accession No: 94583 - 275CORPORATE GOVERNANCE AND RISK MANAGEMENT IN FINANCIAL INSTITUTIONS: AN INTERNATIONAL COMPARISON BETWEEN BRAZIL AND GERMANY
Author(s): ROBERT C. GERICKE
Publisher: SPRINGER (Publication Year:2018)
Subject(s): RISK MANAGEMENT, CORPORATE GOVERNANCE
Call No: 658.155 GER
Accession No: 98631 - 276CREDIT-RISK MODELLING: THEORETICAL FOUNDATIONS, DIAGNOSTIC TOOLS, PRACTICAL EXAMPLES, AND NUMERICAL RECIPES IN PYTHON
Author(s): DAVID BOLDER
Publisher: SPRINGER (Publication Year:2018)
Subject(s): MATHEMATICAL MODELS, BUSINESS ENTERPRISES FINANCE, FINANCIAL RISK MANAGEMENT, FINANCIAL ENGINEERING
Call No: 658.155 BOL
Accession No: 101762 - 277ENTERPRISE RISK MANAGEMENT MODELS
Author(s): DESHENG DASH WU, DAVID L. OLSON
Publisher: SPRINGER (Publication Year:2020)
Subject(s): PRODUCTION MANAGEMENT, RISK MANAGEMENT, COMPUTER SIMULATION
Call No: 658.155 OLS
Accession No: 101599 - 278ENTERPRISE RISK MANAGEMENT MODELS: FOCUS ON SUSTAINABILITY
Author(s): DAVID L. OLSON
Publisher: SPRINGER (Publication Year:2023)
Subject(s): RISK MANAGEMENT, BUSINESS LOGISTICS
Call No: 658.155 OLS
Accession No: 106294 - 279FINANCIAL RISK MANAGEMENT FOR BASEL III AND SOLVENCY II: NOVEL METHODS
Author(s): VOJO BUBEVSKI
Publisher: LAP LAMBERT ACADEMIC PUBLISHING (Publication Year:2021)
Subject(s): FINANCIAL RISK MANAGEMENT, BASEL III, SIX SIGMA (QUALITY CONTROL STANDARD)
Call No: 658.155 BUB
Accession No: 104703 - 280RISK MANAGEMENT AND FINANCIAL INSTITUTIONS
Author(s): JOHN C HULL
Publisher: JOHN WILEY (Publication Year:2012)
Subject(s): CAPITAL MARKET, FINANCIAL INSTITUTIONS, RISK MANAGEMENT, FINANCIAL INSTITUTIONS MANAGEMENT, FINANCIAL RISK MANAGEMENT
Call No: 658.155 HUL
Accession No: 86282