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----> управление рисками = risk management [ 005.334 ]
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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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Связанные описания:
Экз. чит. зала
Книга
Chapman, R. J.
Simple tools and techniques for enterprise risk management
ISBN 0-470-01466-0
Chapman, R. J.
Simple tools and techniques for enterprise risk management
Серия: Wiley finance series
John Wiley & Sons, 2006 г.ISBN 0-470-01466-0
Доступно
1 из 2
Книга
Taleb, N. N.
Skin in the game: hidden asymmetries in daily life
Penguin Books, 2019 г.
ISBN 9780141982656
Taleb, N. N.
Skin in the game: hidden asymmetries in daily life
Penguin Books, 2019 г.
ISBN 9780141982656
Доступно
1 из 2
Книга
Charupat, N.
Strategic financial planning over the lifecycle: a conceptual approach to personal risk management
Cambridge University Press, 2012 г.
ISBN 978-0-521-76456-8
Charupat, N.
Strategic financial planning over the lifecycle: a conceptual approach to personal risk management
Cambridge University Press, 2012 г.
ISBN 978-0-521-76456-8
Доступно
1 из 1
Книга
Ahn, M.J.
Strategic risk management: how global corporations manage financial risk for competitive advantage
McGraw-Hill, 1991 г.
ISBN 0-07-707494-7
Ahn, M.J.
Strategic risk management: how global corporations manage financial risk for competitive advantage
McGraw-Hill, 1991 г.
ISBN 0-07-707494-7
Экз. чит. зала
Книга
Andersen, T. J.
Strategic risk management practice: how to deal effectively whith major corporate exposures
Cambridge University Press, 2010 г.
ISBN 978-0-521-11424-0
Andersen, T. J.
Strategic risk management practice: how to deal effectively whith major corporate exposures
Cambridge University Press, 2010 г.
ISBN 978-0-521-11424-0
Доступно
1 из 1
Книга
Strategies for risk communication: evolution, evidence, experience
Blackwell Publishing, 2008 г.
ISBN 978-1-573-31681-1
Strategies for risk communication: evolution, evidence, experience
Blackwell Publishing, 2008 г.
ISBN 978-1-573-31681-1
Доступно
1 из 3
Книга
Rogers, J.
Strategy, value and risk - the real options approach: reconciling innovation, strategy and value management
ISBN 0-333-97346-1
Rogers, J.
Strategy, value and risk - the real options approach: reconciling innovation, strategy and value management
Серия: Finance and capital markets
PALGRAVE, 2002 г.ISBN 0-333-97346-1
Доступно
1 из 1
Книга
Rogers, J.
Strategy, value and risk: the real options approach
ISBN 978-0-230-57737-4
Rogers, J.
Strategy, value and risk: the real options approach
Серия: Finance and capital markets
Palgrave Macmillan, 2009 г.ISBN 978-0-230-57737-4
Экз. чит. зала
Книга
Young, T. L.
Successful project management
ISBN отсутствует
Young, T. L.
Successful project management
Серия: Creating success
Kogan Page, 2006 г.ISBN отсутствует
Экз. чит. зала
Книга
Waters, D.
Supply chain risk management: vulnerability and resilience in logistics
Kogan Page, 2007 г.
ISBN 978-0-7494-4854-7
Waters, D.
Supply chain risk management: vulnerability and resilience in logistics
Kogan Page, 2007 г.
ISBN 978-0-7494-4854-7
Доступно
1 из 1
Книга
Flavell, R.
Swaps and other derivatives
ISBN 0-471-49589-1
Flavell, R.
Swaps and other derivatives
Серия: Wiley finance series
John Wiley & Sons, 2002 г.ISBN 0-471-49589-1
Доступно
1 из 1
Книга
Terrorism and the international business environment: the security-business nexus
Edward Elgar, 2004 г.
ISBN 1-84376-801-1
Terrorism and the international business environment: the security-business nexus
Edward Elgar, 2004 г.
ISBN 1-84376-801-1
Доступно
1 из 1
Книга
Hart, D. G.
The Actuarial Practice of General Insurance
Institute of Actuaries of Australia, 1996 г.
ISBN 0-85813-055-6
Hart, D. G.
The Actuarial Practice of General Insurance
Institute of Actuaries of Australia, 1996 г.
ISBN 0-85813-055-6
Доступно
1 из 2
Книга
The ALCO: strategic issues in asset/liability management
Macmillan Business, 1992 г.
ISBN отсутствует
The ALCO: strategic issues in asset/liability management
Macmillan Business, 1992 г.
ISBN отсутствует
Экз. чит. зала
Книга
Culp, C. L.
The ART of risk management: alternative risk transfer, capital structure, and the convergence of insurance and capital markets
ISBN 0-471-12495-8
Culp, C. L.
The ART of risk management: alternative risk transfer, capital structure, and the convergence of insurance and capital markets
Серия: Wiley finance series
John Wiley & Sons, 2002 г.ISBN 0-471-12495-8
Экз. чит. зала
Книга
Choudhry, M.
The bond and money markets: strategy, trading, analysis
Butterworth-Heinemann, 2008 г.
ISBN 0-7506-6078-3
Choudhry, M.
The bond and money markets: strategy, trading, analysis
Butterworth-Heinemann, 2008 г.
ISBN 0-7506-6078-3
Экз. чит. зала
Экз. чит. зала
Книга
Goldin, I.
The butterfly defect: how globalization creates systemic risks, and what to do about it
Princeton University Press, 2014 г.
ISBN 978-0-691-16842-5
Goldin, I.
The butterfly defect: how globalization creates systemic risks, and what to do about it
Princeton University Press, 2014 г.
ISBN 978-0-691-16842-5
Доступно
1 из 1
Книга
Gastineau, G. L.
The dictionary of financial risk management
Frank J. Fabozzi Associates, 1996 г.
ISBN 1-88324-914-7
Gastineau, G. L.
The dictionary of financial risk management
Frank J. Fabozzi Associates, 1996 г.
ISBN 1-88324-914-7
Доступно
1 из 1
Книга
Simons, H. L.
The dynamic option selection system: Analyzing markets and managing risk
ISBN 0-471-32051-X
Simons, H. L.
The dynamic option selection system: Analyzing markets and managing risk
Серия: Wiley trading advantage
John Wiley & Sons, 1999 г.ISBN 0-471-32051-X
Доступно
1 из 1
Книга
Jarrow, R.
The economic foundations of risk management: theory, practice, and applications
World Scientific, 2017 г.
ISBN 9789813149960
Jarrow, R.
The economic foundations of risk management: theory, practice, and applications
World Scientific, 2017 г.
ISBN 9789813149960
Доступно
1 из 2
Экз. чит. зала
Книга
Handscombe, R. D.
The entropy vector: connecting science and business
World Scientific, 2004 г.
ISBN 981-238-571-1
Handscombe, R. D.
The entropy vector: connecting science and business
World Scientific, 2004 г.
ISBN 981-238-571-1
Доступно
1 из 1
Книга
Cornell, B.
The Equity Risk Premium: The long-run future of the stock market
ISBN 0-471-32735-2
Cornell, B.
The Equity Risk Premium: The long-run future of the stock market
Серия: Wiley frontiers in finance
John Wiley & Sons, 1999 г.ISBN 0-471-32735-2
Экз. чит. зала
Доступно
1 из 3
Книга
Crouhy, M.
The essentials of risk management
McGraw-Hill Education, 2014 г.
ISBN 978-0-07-181851-3
Crouhy, M.
The essentials of risk management
McGraw-Hill Education, 2014 г.
ISBN 978-0-07-181851-3
Доступно
1 из 1
Книга
McKoen, P.
The finance manual for non-financial managers: the power to make confident financial decisions
PITMAN PUBLISHING, 1997 г.
ISBN 0-273-62559-4
McKoen, P.
The finance manual for non-financial managers: the power to make confident financial decisions
PITMAN PUBLISHING, 1997 г.
ISBN 0-273-62559-4
Доступно
1 из 1
Книга
Holliwell, J.
The financial risk manual: a systematic guide to identifying and managing financial risk
ISBN отсутствует
Holliwell, J.
The financial risk manual: a systematic guide to identifying and managing financial risk
Серия: Risk management
PITMAN PUBLISHING, 1997 г.ISBN отсутствует
Доступно
1 из 1
Доступно
1 из 1
Доступно
1 из 1
Книга
Nader, J.S.
The manager's concise guide to risk
ISBN 0-471-48651-5
Nader, J.S.
The manager's concise guide to risk
Серия: Wiley finance series
John Wiley & Sons, 2002 г.ISBN 0-471-48651-5
Нет экз.
Доступно
1 из 1
Книга
Allen, D. W.
The nature of the farm: contracts, risk, and organization in agriculture
The MIT Press, 2002 г.
ISBN 0-262-12253-7
Allen, D. W.
The nature of the farm: contracts, risk, and organization in agriculture
The MIT Press, 2002 г.
ISBN 0-262-12253-7
Доступно
1 из 1
Книга
The new financial landscape: forces shaping the revolution in banking, risk management and capital markets
ISBN 92-641-4650-4
The new financial landscape: forces shaping the revolution in banking, risk management and capital markets
Серия: OECD documents
OECD, 1995 г.ISBN 92-641-4650-4
Доступно
1 из 2
Книга
Shiller, R. J.
The new financial order: risk in the 21st century
Princeton University Press, 2003 г.
ISBN 0-691-09172-2
Shiller, R. J.
The new financial order: risk in the 21st century
Princeton University Press, 2003 г.
ISBN 0-691-09172-2
Доступно
1 из 1
Книга
Triana, P.
The number that killed us: a story of modern banking, flawed mathematics, and a big financial crisis
John Wiley & Sons, 2012 г.
ISBN 978-0-470-52973-7
Triana, P.
The number that killed us: a story of modern banking, flawed mathematics, and a big financial crisis
John Wiley & Sons, 2012 г.
ISBN 978-0-470-52973-7
Доступно
1 из 1
Книга
Ho, T. S. Y.
The Oxford guide to financial modeling: applications for capital markets, corporate finance, risk management, and financial institutions
Oxford University Press, 2004 г.
ISBN 0-19-516962-X
Ho, T. S. Y.
The Oxford guide to financial modeling: applications for capital markets, corporate finance, risk management, and financial institutions
Oxford University Press, 2004 г.
ISBN 0-19-516962-X
Доступно
1 из 1
Книга
Kiev, A.
The psychology of risk: mastering market uncertainty
ISBN 0-471-40387-3
Kiev, A.
The psychology of risk: mastering market uncertainty
Серия: Wiley trading series
John Wiley & Sons, 2002 г.ISBN 0-471-40387-3
Доступно
1 из 1
Книга
Boer, F. P.
The real options solution: finding total value in a high-risk world
ISBN 0-471-20998-8
Boer, F. P.
The real options solution: finding total value in a high-risk world
Серия: Wiley finance series
John Wiley & Sons, 2002 г.ISBN 0-471-20998-8
Экз. чит. зала
Книга
Culp, C. L.
The risk management process: business strategy and tactics
ISBN 0-471-40554-X
Culp, C. L.
The risk management process: business strategy and tactics
Серия: Wiley finance series
John Wiley & Sons, 2001 г.ISBN 0-471-40554-X
Доступно
1 из 1
Книга
Carroll, T.
The role of the finance director: strategy, leadership, value and risk
Pearson Education, 2002 г.
ISBN 0-273-65655-4
Carroll, T.
The role of the finance director: strategy, leadership, value and risk
Pearson Education, 2002 г.
ISBN 0-273-65655-4
Доступно
1 из 1
Книга
Banks, E.
The simple rules of risk: revisiting the art of financial risk management
ISBN 0-470-84774-3
Banks, E.
The simple rules of risk: revisiting the art of financial risk management
Серия: Wiley finance series
John Wiley & Sons, 2002 г.ISBN 0-470-84774-3
Экз. чит. зала
Книга
Raynor, M. E.
The strategy paradox: why committing to success leads to failure (and what to do about it)
Currency, 2007 г.
ISBN 978-0-385-51622-8
Raynor, M. E.
The strategy paradox: why committing to success leads to failure (and what to do about it)
Currency, 2007 г.
ISBN 978-0-385-51622-8
Нет экз.
Электронные книги
Bouchaud, J.- P.
Theory of financial risk and derivative pricing: from statistical physics to risk management
Cambridge University Press, 2003 г.
ISBN 9780511205620
Bouchaud, J.- P.
Theory of financial risk and derivative pricing: from statistical physics to risk management
Cambridge University Press, 2003 г.
ISBN 9780511205620
Доступно
1 из 1
Книга
Bouchaud, J.- P.
Theory of financial risk and derivative pricing: from statistical physics to risk management
Cambridge University Press, 2003 г.
ISBN 0-521-81916-4
Bouchaud, J.- P.
Theory of financial risk and derivative pricing: from statistical physics to risk management
Cambridge University Press, 2003 г.
ISBN 0-521-81916-4
Экз. чит. зала
Книга
Bouchaud, J.- P.
Theory of financial risks: from statistical physics to risk management
Cambridge University Press, 2000 г.
ISBN 0-521-78232-5
Bouchaud, J.- P.
Theory of financial risks: from statistical physics to risk management
Cambridge University Press, 2000 г.
ISBN 0-521-78232-5
Доступно
1 из 1
Книга
Bouchaud, J.- P.
Theory of financial risks: from statistical physics to risk management
Cambridge University Press, 2002 г.
ISBN 0-521-78232-5
Bouchaud, J.- P.
Theory of financial risks: from statistical physics to risk management
Cambridge University Press, 2002 г.
ISBN 0-521-78232-5
Доступно
1 из 1
Книга
Bouchaud, J.- P.
Theory of financial risks: from statistical physics to risk management
Cambridge University Press, 2001 г.
ISBN 0-521-78232-5
Bouchaud, J.- P.
Theory of financial risks: from statistical physics to risk management
Cambridge University Press, 2001 г.
ISBN 0-521-78232-5
Доступно
1 из 2
Экз. чит. зала
Книга
Borek, A.
Total information risk management: maximizing the value of data and information assets
Elsevier, 2014 г.
ISBN 978-0-12-405547-6
Borek, A.
Total information risk management: maximizing the value of data and information assets
Elsevier, 2014 г.
ISBN 978-0-12-405547-6