by
Farlow, Andrew.
Format:
Books
Publication Date
2013
Excerpt:
, the explosion in the use of novel financial instruments, the mismanagement of risk, and the specific
by
Sotiropoulos, Dimitris, 1975-, author.
Format:
Books
Publication Date
2013
Excerpt:
: incorporating risk into the Marxian framework -- 9.Towards a political economy of monetary unions: revisiting
by
Braga, Carlos Alberto Primo, 1954-
Format:
Books
Publication Date
2011
Excerpt:
'boyle -- Public debt management and sovereign risk during the worst financial crisis on record : experiences and
by
Vogel, Harold L., 1946-
Format:
Books
Publication Date
2010
Excerpt:
related to the standard equity risk premium models in a way that is consistent with conventional theory
by
Fiordelisi, Franco, 1972-
Format:
Books
Publication Date
2010
Excerpt:
. Capital markets and risk management.
by
Kolb, Robert W.
Format:
Books
Publication Date
2010
Excerpt:
the Financial Crisis; Part III: Borrowers; Part IV: The Process of Securitization; Part V: Risk
by
Goodhart, C. A. E. (Charles Albert Eric)
Format:
Books
Publication Date
2009
Excerpt:
Financial services industry -- Risk management.
by
Knoop, Todd A.
Table of contents only http://www.loc.gov/catdir/enhancements/fy0805/2007048188-t.html
Publisher description http://www.loc.gov/catdir/enhancements/fy0805/2007048188-d.html
Contributor biographical information http://www.loc.gov/catdir/enhancements/fy0805/2007048188-b.html
Publisher description http://www.loc.gov/catdir/enhancements/fy0805/2007048188-d.html
Contributor biographical information http://www.loc.gov/catdir/enhancements/fy0805/2007048188-b.html
Format:
Books
Publication Date
2008
Excerpt:
, Monetarist, and Neoclassical Theories -- 5. New Institutional Theories of Finance: Models of Risk and the
by
Menschel, Robert.
Format:
Electronic Resources
Publication Date
2002
Excerpt:
Risk -- Sociological aspects.
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