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--> Менеджмент = management
----> управление рисками = risk management [ 005.334 ]
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- управление рисками = risk management [ 005.334 ]
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Книга
Handbook of integrated risk management for E-business: measuring, modeling, and managing risk
J.Ross Publishing, 2005 г.
ISBN 1-932159-07-X
Handbook of integrated risk management for E-business: measuring, modeling, and managing risk
J.Ross Publishing, 2005 г.
ISBN 1-932159-07-X
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Ivantsov, E.
Heads or tails: financial disaster, risk management and survival strategy in the world of extreme risk
Routledge, 2016 г.
ISBN 9781138272644
Ivantsov, E.
Heads or tails: financial disaster, risk management and survival strategy in the world of extreme risk
Routledge, 2016 г.
ISBN 9781138272644
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Книга
How to Price Your Products and Services
Harvard Business School Press, 1991 г.
ISBN 0-87584-278-X
How to Price Your Products and Services
Harvard Business School Press, 1991 г.
ISBN 0-87584-278-X
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Leiss, W.
In the chamber of risks: understanding risk controversies
McGill-Queen's University Press, 2001 г.
ISBN 0-7735-2246-8
Leiss, W.
In the chamber of risks: understanding risk controversies
McGill-Queen's University Press, 2001 г.
ISBN 0-7735-2246-8
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Loosemore, M.
Innovation, strategy and risk in construction: turning serendipity into capability
Routledge, 2014 г.
ISBN 978-0-415-67599-4
Loosemore, M.
Innovation, strategy and risk in construction: turning serendipity into capability
Routledge, 2014 г.
ISBN 978-0-415-67599-4
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Innovations in retirement financing
University of Pennsylvania Press, 2002 г.
ISBN 0-8122-3641-6
Innovations in retirement financing
University of Pennsylvania Press, 2002 г.
ISBN 0-8122-3641-6
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Многотомник
Insurance and risk management: 2 vol. set
Edward Elgar, Edward Elgar, 2008 г.
ISBN 978-1-84720-333-5
Insurance and risk management: 2 vol. set
Edward Elgar, Edward Elgar, 2008 г.
ISBN 978-1-84720-333-5
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Insurance and weather derivatives: from exotic options to exotic underlyings
Risk Books, 1999 г.
ISBN 1-89933-257-X
Insurance and weather derivatives: from exotic options to exotic underlyings
Risk Books, 1999 г.
ISBN 1-89933-257-X
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Yohe, W.P.
Interactive money and banking: a microcomputer approach
Blackwell, 1995 г.
ISBN отсутствует
Yohe, W.P.
Interactive money and banking: a microcomputer approach
Blackwell, 1995 г.
ISBN отсутствует
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Topritzhofer, E.
International business transactions: risk analysis and tools for risk management
FIS finance & investment, 2010 г.
ISBN 978-3-902540-96-6
Topritzhofer, E.
International business transactions: risk analysis and tools for risk management
FIS finance & investment, 2010 г.
ISBN 978-3-902540-96-6
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Книга
International political risk management: looking to the future
The World Bank, 2005 г.
ISBN 0-8213-6154-6
International political risk management: looking to the future
The World Bank, 2005 г.
ISBN 0-8213-6154-6
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Книга
Dorfman, M. S.
Introduction to risk management and insurance
Pearson Prentice Hall, 2005 г.
ISBN 0-13-144958-3
Dorfman, M. S.
Introduction to risk management and insurance
Pearson Prentice Hall, 2005 г.
ISBN 0-13-144958-3
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Dorfman, M. S.
Introduction to Risk Management and Insurance
Prentice Hall, 1998 г.
ISBN 0-13-752106-5
Dorfman, M. S.
Introduction to Risk Management and Insurance
Prentice Hall, 1998 г.
ISBN 0-13-752106-5
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Dorfman, M. S.
Introduction to risk management and insurance
Pearson Prentice Hall, 2008 г.
ISBN 0-13-224227-3
Dorfman, M. S.
Introduction to risk management and insurance
Pearson Prentice Hall, 2008 г.
ISBN 0-13-224227-3
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Книга
Chorafas, D. N.
Liabilities, liquidity, and cash management: balancing financial risks
John Wiley & Sons, 2002 г.
ISBN 0-471-10630-5
Chorafas, D. N.
Liabilities, liquidity, and cash management: balancing financial risks
John Wiley & Sons, 2002 г.
ISBN 0-471-10630-5
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Книга
Liquidity black holes: understanding, quantifying and managing financial liquidity risk
Risk Books, 2003 г.
ISBN 1-904339-13-1
Liquidity black holes: understanding, quantifying and managing financial liquidity risk
Risk Books, 2003 г.
ISBN 1-904339-13-1
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Corcoran, C. M.
Long/short market dynamics: trading strategies for today's markets
ISBN 978-0-470-05728-5
Corcoran, C. M.
Long/short market dynamics: trading strategies for today's markets
Серия: Wiley trading series
John Wiley & Sons, 2007 г.ISBN 978-0-470-05728-5
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Книга
Gray, D. F.
Macrofinancial risk analysis
ISBN 978-0-470-05831-2
Gray, D. F.
Macrofinancial risk analysis
Серия: Wiley finance series
John Wiley & Sons, 2008 г.ISBN 978-0-470-05831-2
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Книга
Matten, C.
Managing bank capital: capital allocation and performance measurement
John Wiley & Sons, 1997 г.
ISBN 0-471-96116-7
Matten, C.
Managing bank capital: capital allocation and performance measurement
John Wiley & Sons, 1997 г.
ISBN 0-471-96116-7
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Книга
Managing business risk: a practical guide to protecting your business
Kogan Page, 2006 г.
ISBN 0-7494-4510-6
Managing business risk: a practical guide to protecting your business
Kogan Page, 2006 г.
ISBN 0-7494-4510-6
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Книга
Stephens, J. J.
Managing currency risk: using financial derivatives
ISBN 0-471-49886-6
Stephens, J. J.
Managing currency risk: using financial derivatives
Серия: IIA risk management series
John Wiley & Sons, The Institute of Internal Auditors UK and Ireland, 2001 г.ISBN 0-471-49886-6
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Книга
Chorafas, D. N.
Managing derivatives risk: establishing internal systems and controls
Irwin, 1996 г.
ISBN 1-557-38778-8
Chorafas, D. N.
Managing derivatives risk: establishing internal systems and controls
Irwin, 1996 г.
ISBN 1-557-38778-8
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Книга
Botzen, W. J. W.
Managing extreme climate change risks througt insurance
Cambridge University Press, 2015 г.
ISBN 978-1-316-60088-7
Botzen, W. J. W.
Managing extreme climate change risks througt insurance
Cambridge University Press, 2015 г.
ISBN 978-1-316-60088-7
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Книга
Paul, K.
Managing extreme financial risk: strategies and tactics for going concerns
ISBN 978-0-12-417221-0
Paul, K.
Managing extreme financial risk: strategies and tactics for going concerns
Серия: Science & technology books
Elsevier, Academic Press, 2014 г.ISBN 978-0-12-417221-0
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Книга
Smithson, C. W.
Managing financial risk: a guide to derivative products, financial engineering, and value maximization
McGraw-Hill, 1998 г.
ISBN 0-07-059354-X
Smithson, C. W.
Managing financial risk: a guide to derivative products, financial engineering, and value maximization
McGraw-Hill, 1998 г.
ISBN 0-07-059354-X
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1 из 1
Книга
Derosa, D.F.
Managing foreign exchange risk: advanced strategies for global investors, corporations and financial institutions
Irwin, 1996 г.
ISBN 0-7863-1022-7
Derosa, D.F.
Managing foreign exchange risk: advanced strategies for global investors, corporations and financial institutions
Irwin, 1996 г.
ISBN 0-7863-1022-7
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1 из 2
Книга
Oxelheim, L.
Managing in the turbulent world economy: corporate performance and risk exposure
John Wiley & Sons, 1997 г.
ISBN 0-471-97474-9
Oxelheim, L.
Managing in the turbulent world economy: corporate performance and risk exposure
John Wiley & Sons, 1997 г.
ISBN 0-471-97474-9
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1 из 3
Книга
Stephens, J. J.
Managing interest rate risk: using financial derivatives
ISBN 0-471-48549-7
Stephens, J. J.
Managing interest rate risk: using financial derivatives
Серия: IIA risk management series
The Institute of Internal Auditors UK and Ireland, John Wiley & Sons, 2002 г.ISBN 0-471-48549-7
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Книга
Hoffman, D. G.
Managing operational risk: 20 firmwide best practice strategies
ISBN 0-471-41268-6
Hoffman, D. G.
Managing operational risk: 20 firmwide best practice strategies
Серия: Wiley finance series
John Wiley & Sons, 2002 г.ISBN 0-471-41268-6
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Книга
Chorafas, D. N.
Managing operational risk: risk reduction strategies for investment and commercial banks
Euromoney, 2001 г.
ISBN 1-85564-891-1
Chorafas, D. N.
Managing operational risk: risk reduction strategies for investment and commercial banks
Euromoney, 2001 г.
ISBN 1-85564-891-1
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Книга
Logue, D.E.
Managing pension plans: a comprehensive guide to improving plan performance
Harvard Business School Press, 1998 г.
ISBN 0-87584-791-9
Logue, D.E.
Managing pension plans: a comprehensive guide to improving plan performance
Harvard Business School Press, 1998 г.
ISBN 0-87584-791-9
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Книга
Andersen, T. J.
Managing risk and opportunity: the governance of strategic risk-taking
Oxford University Press, 2014 г.
ISBN 978-0-19-968785-5
Andersen, T. J.
Managing risk and opportunity: the governance of strategic risk-taking
Oxford University Press, 2014 г.
ISBN 978-0-19-968785-5
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Книга
Managing risks in projects: proceedings of the IPMA Symposium on Project Management, 1997
E & FN Spon, 1997 г.
ISBN 0-419-22990-6
Managing risks in projects: proceedings of the IPMA Symposium on Project Management, 1997
E & FN Spon, 1997 г.
ISBN 0-419-22990-6
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Книга
Managing safety of heterogeneous systems: decisions under uncertainties and risks
Springer, 2012 г.
ISBN 978-3-642-22883-4
Managing safety of heterogeneous systems: decisions under uncertainties and risks
Springer, 2012 г.
ISBN 978-3-642-22883-4
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Книга
Managing strategic surprise: lessons from risk management and risk assessment
Cambridge University Press, 2008 г.
ISBN 978-0-521-70960-6
Managing strategic surprise: lessons from risk management and risk assessment
Cambridge University Press, 2008 г.
ISBN 978-0-521-70960-6
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1 из 2
Книга
Cerny, A.
Mathematical techniques in finance: tools for incomplete markets
Princeton University Press, 2004 г.
ISBN 0-691-08807-1
Cerny, A.
Mathematical techniques in finance: tools for incomplete markets
Princeton University Press, 2004 г.
ISBN 0-691-08807-1
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1 из 1
Книга
Weissman, R. L.
Mechanical trading systems: pairing trader psychology with technical analysis
ISBN 0-471-65435-3
Weissman, R. L.
Mechanical trading systems: pairing trader psychology with technical analysis
Серия: Wiley trading series
John Wiley & Sons, 2005 г.ISBN 0-471-65435-3
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Книга
Flyvbjerg, B.
Megaprojects and risk: an anatomy of ambition
Cambridge University Press, 2003 г.
ISBN 0-521-00946-4
Flyvbjerg, B.
Megaprojects and risk: an anatomy of ambition
Cambridge University Press, 2003 г.
ISBN 0-521-00946-4
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1 из 2
Книга
Methodologies for estimating the economic impacts of natural disasters
Springer, 2022 г.
ISBN 9789811627187
Methodologies for estimating the economic impacts of natural disasters
Springer, 2022 г.
ISBN 9789811627187
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1 из 1
Книга
Rothig, A.
Microeconomic risk management and macroeconomic stability
Springer, 2009 г.
ISBN 978-3-642-01564-9
Rothig, A.
Microeconomic risk management and macroeconomic stability
Springer, 2009 г.
ISBN 978-3-642-01564-9
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Книга
Tunaru, R.
Model risk in financial markets: from financial engineering to risk management
World Scientific, 2015 г.
ISBN 978-981-466-340-3
Tunaru, R.
Model risk in financial markets: from financial engineering to risk management
World Scientific, 2015 г.
ISBN 978-981-466-340-3