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Project finance in construction : , a structured guide to assessment /
by Merna, Anthony.
Publication:
Chichester, England : Wiley-Blackwell, 2010
. xvii, 174 p. :
25 cm.
Date:2010
Availability:
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Risk management under UCITS III/IV : , a new challenge for the fund industry /
by Szylar, Christian.
Publication:
Hoboken, NJ : Wiley, 2010
. xiv, 272 p. :
25 cm.
Date:2010
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Risk management and value : , valuation and asset pricing /
Publication:
Singapore : World Scientific, 2008
. x, 634 p. :
24 cm.
Date:2008
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Risk and financial management in construction /
by Burtonshaw-Gunn, Simon A.
Publication:
Farnham, England ; | Burlington, VT : Gower, 2009
. xi, 181 p. :
25 cm.
Date:2009
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Risk analysis in finance and insurance /
by Melnikov, A. V.,
Publication:
Boca Raton, FL : CRC, 2011
. x, 318 p. ;
24 cm.
Date:2011
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Scenarios for risk management and global investment strategies /
by Ziemba, Rachel.
Publication:
Chichester, England ; | Hoboken, N.J : Wiley, 2007
. xviii, 315 p. :
26 cm.
Date:2007
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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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Corporate risk management /
by Merna, Tony.
Publication:
Chichester, England : Wiley, 2008
. xviii, 422 p. :
24 cm.
Date:2008
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Leadership risk : , a guide for private equity and strategic investors /
by Cooper, David.
Publication:
[Hoboken], NJ : Wiley, 2010
. ix, 239 p.
Date:2010
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The handbook of news analytics in finance /
Publication:
Hoboken, N.J. : Wiley, 2011
. xxvi, 358 p. :
25 cm.
Date:2011
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Modeling risk : , applying Monte Carlo risk simulation, strategic real options, stochastic forecasting, and portfolio optimization /
by Mun, Johnathan.
Publication:
Hoboken, NJ : Wiley, 2010
. xxiii, 986 p. :
24 cm. +
Date:2010
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Options theory and trading : , a step-by-step guide to control risk and generate profits /
by Ianieri, Ron,
Publication:
Hoboken, N.J : Wiley, 2009
. xv, 352 p. :
24 cm.
Date:2009
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Hedging market exposures : , identifying and managing market risks /
by Bychuk, Oleg V.,
Publication:
Hoboken, N.J. : Wiley, 2011
. xvii, 295 p. :
24 cm.
Date:2011
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The art of risk management : , alternative risk transfer, capital structure, and the convergence of insurance and capital markets /
by Culp, Christopher L.
Publication:
New York : Wiley, 2002
. xvi, 572 p. :
24 cm.
Date:2002
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Simulation techniques in financial risk management /
by Chan, Ngai Hang.
Publication:
Hoboken, N.J : Wiley-Interscience, 2006
. xvii, 220 p. :
25 cm.
Date:2006
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Market Risk Analysis : , Quantitative methods in finance /
by Alexander, Carol.
Publication:
Hoboken, N.J : Wiley, 2008
. xxvii, 290 p. :
Date:2008
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Credit derivatives & synthetic structures : , a guide to instruments and applications /
by Tavakoli, Janet M.
Publication:
New York : Wiley, 2001
. viii, 312 p. :
24 cm.
Date:2001
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Managing operational risk : , 20 firmwide best practice strategies /
by Hoffman, Douglas G.,
Publication:
New York : Wiley, 2002
. xxxvi, 534 p. :
24 cm.
Date:2002
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An introduction to derivatives & risk management /
by Chance, Don M.
Publication:
Mason, Ohio : Thomson/South-Western, 2004
. xiv, 675 p. :
27 cm.
Date:2004
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Credit derivatives and credit linked notes /
Publication:
Singapore : Wiley, 2000
. xxiii, 940 p. :
24 cm. +
Date:2000
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