bannerbannerbanner
ЗарубежныеРусскиеВсе

кризисное управление

Bayesian Risk Management
0
A risk measurement and management framework that takes model risk seriously Most financial risk models assume the future will look like the past, but effective risk management depends on identifying fundamental changes in the marketplace as they occu…
A risk measurement and management framework that takes model risk seriously Most financial risk models assume the future will look like the past, but effective risk management depends on identifying fundamental changes in the marketplace as they occu…
Liquidity Risk Management
0
The most up-to-date, comprehensive guide on liquidity risk management—from the professionals Written by a team of industry leaders from the Price Waterhouse Coopers Financial Services Regulatory Practice, Liquidity Risk Management is the first book o…
The most up-to-date, comprehensive guide on liquidity risk management—from the professionals Written by a team of industry leaders from the Price Waterhouse Coopers Financial Services Regulatory Practice, Liquidity Risk Management is the first book o…
The Incomplete Currency
0
A fact-based treatise on the Eurozone crisis, with analysis of possible solutions The Incomplete Currency is the only technical – yet accessible – analysis of the current Eurozone crisis from a global perspective. The discussion begins by explaining …
A fact-based treatise on the Eurozone crisis, with analysis of possible solutions The Incomplete Currency is the only technical – yet accessible – analysis of the current Eurozone crisis from a global perspective. The discussion begins by explaining …
A Risk Professional's Survival Guide
0
Balanced, practical risk management for post – financial crisis institutions Fundamentals of Risk Management fills a critical gap left by existing risk management texts. Instead of focusing only on quantitative risk analysis or only on institutional …
Balanced, practical risk management for post – financial crisis institutions Fundamentals of Risk Management fills a critical gap left by existing risk management texts. Instead of focusing only on quantitative risk analysis or only on institutional …

Популярные авторы