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Stochastic methods for pension funds /
by Devolder, Pierre.
Publication:
London : ISTE, 2011
. xv, 458 p. ;
25 cm.
Date:2011
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Infrastructure investing : , managing risks & rewards for pensions, insurance companies & endowments /
by Sawant, Rajeev J.
Publication:
Hoboken, NJ : Wiley, 2010
. xvii, 270 p. :
24 cm.
Date:2010
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Financial risk forecasting : , the theory and practice of forecasting market risk, with implementation in R and Matlab /
by Danielsson, Jon.
Publication:
Chichester, England : Wiley, 2011
. xxi, 274 p. :
25 cm.
Date:2011
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Essentials of risk management in finance /
by Tarantino, Anthony,
Publication:
Hoboken, NJ : Wiley, 2011
. xv, 304 p.
Date:2011
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Finding alpha : , the search for alpha when risk and return break down /
by Falkenstein, Eric,
Publication:
Hoboken, NJ : Wiley, 2009
. vi, 298 p. :
24 cm.
Date:2009
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Derivatives : , markets, valuation, and risk management /
by Whaley, Robert E.
Publication:
Hoboken, NJ : Wiley, 2006
. xxviii, 930 p. :
26 cm. +
Date:2006
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Trade like a pro : , 15 high-profit trading strategies /
by DraKoln, Noble.
Publication:
Hoboken, NJ : Wiley, 2009
. xiii, 274 p. :
24 cm.
Date:2009
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A pocket guide to risk mathematics : , key concepts every auditor should know /
by Leitch, Matthew.
Publication:
Chichester, England : Wiley, 2010
. xi, 189 p. :
148 cm.
Date:2010
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Dear Mr. Buffett : , what an investor learns 1,269 miles from Wall Street /
by Tavakoli, Janet M.
Publication:
Hoboken, N.J : Wiley, 2009
. xvi, 282 p. ;
24 cm.
Date:2009
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New frontiers in enterprise risk management /
Publication:
Berlin : Springer, 2008
. viii, 236 p. :
24 cm.
Date:2008
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The simple rules of risk : , revisiting the art of financial risk management /
by Banks, Erik.
Publication:
New York : Wiley, 2002
. xiii, 138 p. :
25 cm.
Date:2002
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Reorienting retirement risk management /
Publication:
Oxford : Oxford University Press, 2010
. xx, 282 p. :
25 cm.
Date:2010
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The fundamental rules of risk management /
by Lewis, Nigel Da Costa.
Publication:
Boca Raton, FL : CRC Press, 2012
. xii, 228 p. :
25 cm.
Date:2012
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Understanding financial risk management /
by Corelli, Angelo.
Publication:
London : Routledge, 2015
. xviii, 467 p. ;
24 cm.
Date:2015
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Risk, risk management and regulation in the banking industry : , the risk to come /
by Pelzer, Peter.
Publication:
Abingdon, England. : Routledge, 2013
. x, 219 p. ;
25 cm.
Date:2013
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Risk in international finance /
by Yadav, Vikash.
Publication:
Abingdon, Oxon, England : Routledge, 2014
. xv, 174 p. ;
24 cm.
Date:2014
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Managing and measuring risk : , emerging global standards and regulation after the financial crisis /
Publication:
Singapore : World Scientific, 2013
. xiv, 499 p. :
24 cm.
Date:2013
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Extreme financial risks and asset allocation /
by Courtois, Olivier Le.
Publication:
London : Imperial College Press, 2014
. xvii, 351 p. ;
24 cm.
Date:2014
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Managing currency options in financial institutions : , Vanna-Volga method /
by Lam, Yat-Fai.
Publication:
Abingdon, Oxon : Routledge, 2016
. xii, 94 p. ;
25 cm.
Date:2016
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Modern risk management in banking and finance /
by Musa, Taher
Publication:
Beirut : Union of Arab Banks, 2004
. 189 p.
Date:2004
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