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Рубрика
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- финансовые риски
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- Страхование: страхование валютных рисков
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- инвестиционные риски
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- Экономика предпринимательства (бизнеса). Экономика предприятия: подготовка и анализ проектов в реальные активы: риски инвестиций
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- кредитные риски
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- Банки. Банковское дело: кредит. Кредитное дело
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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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Caouette, J. B.
Managing credit rick: the great challenge for the global financial markets
ISBN 978-0-470-11872-6
Caouette, J. B.
Managing credit rick: the great challenge for the global financial markets
Серия: Wiley finance series
John Wiley & Sons, 2008 г.ISBN 978-0-470-11872-6
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Ramaswamy, S.
Managing credit risk in corporate bond portfolios: a practitioner's guide
ISBN 0-471-43037-4
Ramaswamy, S.
Managing credit risk in corporate bond portfolios: a practitioner's guide
Серия: The Frank J. Fabozzi series
John Wiley & Sons, 2004 г.ISBN 0-471-43037-4
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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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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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Managing downside risk in financial markets: theory, practice and implementation
ISBN 0-7506-4863-5
Managing downside risk in financial markets: theory, practice and implementation
Серия: Quantitative finance series
Butterworth-Heinemann, 2001 г.ISBN 0-7506-4863-5
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Managing economic volatility and crises: a practitioner's guide
Cambridge University Press, 2005 г.
ISBN 9780521855242
Managing economic volatility and crises: a practitioner's guide
Cambridge University Press, 2005 г.
ISBN 9780521855242
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Managing economic volatility and crises: a practitioner's guide
Cambridge University Press, 2005 г.
ISBN 9780511139031
Managing economic volatility and crises: a practitioner's guide
Cambridge University Press, 2005 г.
ISBN 9780511139031
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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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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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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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Maginn, J. L.
Managing investment portfolios: a dynamic process
John Wiley & Sons, 2007 г.
ISBN 0-470-08014-0
Maginn, J. L.
Managing investment portfolios: a dynamic process
John Wiley & Sons, 2007 г.
ISBN 0-470-08014-0
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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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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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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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Alexander, C.
Market models: a guide to financial data analysis
John Wiley & Sons, 2004 г.
ISBN 0-471-89975-5
Alexander, C.
Market models: a guide to financial data analysis
John Wiley & Sons, 2004 г.
ISBN 0-471-89975-5
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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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Fabozzi, F. J.
Measuring and controlling interest rate and credit risk
John Wiley & Sons, John Wiley & Sons, 2003 г.
ISBN 0-471-26806-2
Fabozzi, F. J.
Measuring and controlling interest rate and credit risk
John Wiley & Sons, John Wiley & Sons, 2003 г.
ISBN 0-471-26806-2
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Measuring and managing federal financial risk
The University of Chicago Press, 2010 г.
ISBN 978-0-226-49658-0
Measuring and managing federal financial risk
The University of Chicago Press, 2010 г.
ISBN 978-0-226-49658-0
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Duffie, D.
Measuring corporate default risk
Oxford University Press, 2011 г.
ISBN 978-0-19-927923-4
Duffie, D.
Measuring corporate default risk
Oxford University Press, 2011 г.
ISBN 978-0-19-927923-4
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Dowd, K.
Measuring market risk
ISBN 0-470-01303-6
Dowd, K.
Measuring market risk
Серия: Wiley finance series
John Wiley & Sons, 2005 г.ISBN 0-470-01303-6
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Dowd, K.
Measuring market risk
ISBN 0-471-52174-4
Dowd, K.
Measuring market risk
Серия: Wiley finance series
John Wiley & Sons, 2004 г.ISBN 0-471-52174-4
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Brink, C. H.
Measuring political risk: risks to foreign investment
Ashgate, 2004 г.
ISBN 0-7546-4229-1
Brink, C. H.
Measuring political risk: risks to foreign investment
Ashgate, 2004 г.
ISBN 0-7546-4229-1
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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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Microfinance investment funds: leveraging private capital for economic growth and poverty reduction
Springer, 2006 г.
ISBN 3-540-28070-7
Microfinance investment funds: leveraging private capital for economic growth and poverty reduction
Springer, 2006 г.
ISBN 3-540-28070-7
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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
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Mun, J.
Modeling risk: applying Monte Carlo risk simulation, strategic real options, stochastic forecasting, and portfolio optimization
ISBN 978-0-470-59221-2
Mun, J.
Modeling risk: applying Monte Carlo risk simulation, strategic real options, stochastic forecasting, and portfolio optimization
Серия: Wiley finance series
John Wiley & Sons, 2010 г.ISBN 978-0-470-59221-2
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Glasserman, P.
Monte Carlo methods in financial engineering
ISBN 978-0-387-00451-8
Glasserman, P.
Monte Carlo methods in financial engineering
Серия: Applications of mathematics
Springer, 2003 г.ISBN 978-0-387-00451-8
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Haslem, J.A.
Mutual funds: risk and performance analysis for decision making
Blackwell, 2003 г.
ISBN 0-631-21561-1
Haslem, J.A.
Mutual funds: risk and performance analysis for decision making
Blackwell, 2003 г.
ISBN 0-631-21561-1
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Hyman, M.
New ways for managing global financial risks: the next generation
ISBN 0-470-01288-9
Hyman, M.
New ways for managing global financial risks: the next generation
Серия: Wiley finance series
John Wiley & Sons, 2006 г.ISBN 0-470-01288-9
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Auer, M.
Operationelles Risikomanagement bei Finanzinstituten: Risiken identifizieren, analysieren und steuern
Wiley-VCH, 2008 г.
ISBN 978-3-527-50279-0
Auer, M.
Operationelles Risikomanagement bei Finanzinstituten: Risiken identifizieren, analysieren und steuern
Wiley-VCH, 2008 г.
ISBN 978-3-527-50279-0
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Vine, S.
Options: trading strategy and risk management
ISBN 0-471-69128-3
Vine, S.
Options: trading strategy and risk management
Серия: Wiley finance series
John Wiley & Sons, 2005 г.ISBN 0-471-69128-3
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Cottle, C.M.
Options: Perception and Deception: Position Dissection, Risk Analysis, and Defensive Trading Strategies
Irwin, 1996 г.
ISBN 1-557-38907-1
Cottle, C.M.
Options: Perception and Deception: Position Dissection, Risk Analysis, and Defensive Trading Strategies
Irwin, 1996 г.
ISBN 1-557-38907-1
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Kross, W. K.
Organized opportunities: risk management in financial services operations
Wiley-VCH, 2007 г.
ISBN 978-3-527-50240-0
Kross, W. K.
Organized opportunities: risk management in financial services operations
Wiley-VCH, 2007 г.
ISBN 978-3-527-50240-0
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Performance measurement in finance: firms, funds and managers
Butterworth-Heinemann, Butterworth-Heinemann, 2002 г.
ISBN 0-7506-5026-5
Performance measurement in finance: firms, funds and managers
Butterworth-Heinemann, Butterworth-Heinemann, 2002 г.
ISBN 0-7506-5026-5
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Книга
Performance of financial institutions: efficiency, innovation, regulation
Cambridge University Press, 2000 г.
ISBN 0-521-77767-4
Performance of financial institutions: efficiency, innovation, regulation
Cambridge University Press, 2000 г.
ISBN 0-521-77767-4
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Rebonato, R.
Plight of the fortune tellers: why we need to manage financial risk differently
Princeton University Press, 2007 г.
ISBN 978-0-691-13361-4
Rebonato, R.
Plight of the fortune tellers: why we need to manage financial risk differently
Princeton University Press, 2007 г.
ISBN 978-0-691-13361-4
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Rebonato, R.
Portfolio management under stress: a Bayesian-net approach to coherent asset allocation
Cambridge University Press, 2013 г.
ISBN 978-1-10-704811-9
Rebonato, R.
Portfolio management under stress: a Bayesian-net approach to coherent asset allocation
Cambridge University Press, 2013 г.
ISBN 978-1-10-704811-9
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Leroy, S.F.
Principles of financial economics
Cambridge University Press, 2001 г.
ISBN 0-521-58605-4
Leroy, S.F.
Principles of financial economics
Cambridge University Press, 2001 г.
ISBN 0-521-58605-4
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Gitman, L. J.
Principles of managerial finance
HarperCollins College Publishers, 1994 г.
ISBN 0-06-501277-1
Gitman, L. J.
Principles of managerial finance
HarperCollins College Publishers, 1994 г.
ISBN 0-06-501277-1
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Книга
Gitman, L. J.
Principles of managerial finance
HarperCollins Publishers, 1988 г.
ISBN 978-0-06-042412-1
Gitman, L. J.
Principles of managerial finance
HarperCollins Publishers, 1988 г.
ISBN 978-0-06-042412-1