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  1. Robert L. Hetzel. The Great Recession: Market Failure or Policy Failure? (Studies in Macroeconomic History). – М.: , 2012. – 400 с.
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  3. OECD Organisation for Economic Co-operation and Development. OECD Economic Surveys: Hungary 2012. – М.: , 2012. – 152 с.
  4. Kern Alexander. RESEARCH HANDBOOK ON INTERNATIONAL FINANCIAL REGULATIONS. – М.: , 2012. – 464 с.
  5. Iain Hardie. Financialization and Government Borrowing Capacity in Emerging Markets (International Political Economy). – М.: , 2012. – 232 с.
  6. Alexander M. Ineichen, Alexander Ineichen. Absolute Returns: The Risk and Opportunities of Hedge Fund Investing. – М.: , 0. – 0 с.
  7. Stephane Reverre. The Complete Arbitrage Deskbook. – М.: , 0. – 0 с.
  8. Christopher L. Culp, Christopher L. Culp. The ART of Risk Management. – М.: , 0. – 0 с.
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  10. Erik Banks, Richard Dunn, Erik Banks, Richard Dunn. Practical Risk Management. – М.: , 0. – 0 с.
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  12. Franklin Allen and Douglas Gale. Comparing Financial Systems. – М.: The MIT Press, 2001. – 520 с.
  13. Giorgio S. Questa. Fixed Income Analysis for the Global Financial Market: Money Market, Foreign Exchange, Securities, and Derivatives. – М.: Wiley, 1999. – 368 с.
  14. Forecasting Volatility in the Financial Markets (Quantitative Finance Series). – М.: , 0. – 0 с.
  15. Daniel Ben-Ami, Daniel Ben-Ami. Cowardly Capitalism: The Myth of The Global Financial Casino. – М.: , 0. – 0 с.
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  17. Erik Banks. The Failure of Wall Street: How and Why Wall Street Fails and What Can Be Done About It. – М.: , 0. – 0 с.
  18. Peter Marber. From Third World to World Class: The Future of Emerging Markets in the Global Economy. – М.: , 0. – 0 с.
  19. Anna Meyendorff, Anjan Thakor, Anjan V. Thakor. Designing Financial Systems in Transition Economies: Strategies for Reform in Central and Eastern Europe. – М.: , 0. – 0 с.
  20. G. Ottaviani, Italy) Afir International Colloquium 1993 Rome. Financial Risk in Insurance. – М.: , 0. – 0 с.
  21. Economics for Financial Markets. – М.: , 0. – 0 с.
  22. Christian L. Dunis, Bin Zhou. Nonlinear Modelling of High Frequency Financial Time Series (Financial Economics and Quantitative Analysis Series). – М.: , 0. – 0 с.
  23. Ferdinand E. Banks. Global Finance and Financial Markets: A Modern Introduction. – М.: , 0. – 0 с.
  24. Colin Mayer, Xavier Vives. Capital Markets and Financial Intermediation. – М.: , 0. – 0 с.
  25. Meir G. Kohn. Financial Institutions and Markets. – М.: , 0. – 0 с.
  26. Franco, Bruni, Donald E. Fair, Richard O'Brien, Bill Allen. Risk Management in Volatile Financial Markets (Financial and Monetary Policy Studies, No. 32). – М.: , 0. – 0 с.
  27. Laurent L. Jacque, Paul M. Vaaler. Financial Innovations and the Welfare of Nations: How Cross-Border Transfers of Financial Innovations Nurture Emerging Capital Markets. – М.: , 0. – 0 с.
  28. John Y. Campbell, Andrew W. Lo, A. Craig MacKinlay. The Econometrics of Financial Markets. – М.: Princeton University Press, 0. – 632 с.
  29. Christopher L. Culp. Risk Transfer: Derivatives in Theory and Practice. – М.: John Wiley and Sons, Ltd, 2004. – 448 с.
  30. Keith Cuthbertson, Dirk Nitzsche. Financial Engineering: Derivatives and Risk Management. – М.: , 0. – 0 с.
  31. Howard L. Simons. The Dynamic Option Selection System : Analyzing Markets and Managing Risk (Wiley Trading). – М.: , 0. – 0 с.
  32. Franklin Allen, Douglas Gale. Financial Innovation and Risk Sharing. – М.: , 0. – 0 с.
  33. E. Barucci. Financial Markets Theory: Equilibrium, Efficiency, and Information (Springer Finance). – М.: , 0. – 0 с.
  34. David Blake. Financial Market Analysis. – М.: , 0. – 0 с.
  35. Carol Alexander. Risk Management and Analysis, New Markets and Products (Wiley Series in Financial Engineering). – М.: , 0. – 0 с.
  36. Pierre Lequeux. Financial Markets Tick By Tick. – М.: , 0. – 0 с.
  37. Christian L. Dunis. Forecasting Financial Markets : Exchange Rates, Interest Rates and Asset Management (Financial Economics and Quantitative Analysis Series). – М.: , 0. – 0 с.
  38. Erwin W. Heri, Vanessa Rossi. International Financial Market Investment : A Swiss Banker's Guide (A Wiley Professional Title). – М.: , 0. – 0 с.
  39. Federal Reserve Bank of Kansas City. Financial Market Volatility and the Economy. – М.: , 0. – 0 с.
  40. Jamie Rogers. Strategy, Value and Risk-The Real Options Approach. – М.: Palgrave Macmillan, 2002. – 250 с.
  41. M. Bagella. Monetary Integration, Markets and Regulation, Volume 4 (Research in Banking and Finance). – М.: , 2004. – 0 с.
  42. Johannes Voit. The Statistical Mechanics of Financial Markets (Texts and Monographs in Physics). – М.: , 2003. – 0 с.
  43. Anthony Saunders. Financial Markets and Institutions + Enron PowerWeb + Standard & Poor's Educational Version of Market Insight. – М.: , 2003. – 0 с.
  44. Satyajit Das. The Swaps & Financial Derivatives Library:Products, Pricing, Applications and Risk Management3rd Edition Revised(Boxed Set) (Wiley Finance). – М.: John Wiley and Sons, Ltd, 2005. – 4700 с.
  45. Anthony Saunders. Financial Markets and Institutions: A Modern Perspective, Second Edition. – М.: , 2003. – 0 с.
  46. Howard Abell. Spread Trading: Low Risk Strategies for Profiting from Market Relationships. – М.: , 2003. – 0 с.
  47. Nigel Nicholson. Traders: Risks, Decisions, and Management in Financial Markets. – М.: , 2004. – 0 с.
  48. Richard D. Macminn. Fisher Model And Financial Markets. – М.: World Scientific Publishing Company, 2005. – 120 с.
  49. John C. Hull. Fundamentals of Futures and Options Markets and Derivagem Package (6th Edition). – М.: , 2007. – 0 с.
  50. Charles R. Geisst. Undue Influence: How the Wall Street Elite Puts the Financial System at Risk. – М.: , 2004. – 314 с.
  51. Jeffrey Kleintop. Market Evolution: How to Profit in Today's Changing Financial Markets. – М.: , 2006. – 214 с.
  52. Transparency, Governance and Markets. – М.: , 2006. – 432 с.
  53. John Knight, Stephen Satchell. Forecasting Volatility in the Financial Markets (Quantitative Finance) (Quantitative Finance). – М.: , 2007. – 432 с.
  54. Tze Leung Lai, Haipeng Xing. Statistical Models and Methods for Financial Markets (Springer Texts in Statistics). – М.: , 2008. – 354 с.
  55. Ajay Shah, Susan Thomas, Michael Gorham. India's Financial Markets: An Insider's Guide to How the Markets Work (Elsevier and IIT Stuart Center for Financial Markets Press). – М.: , 2008. – 224 с.
  56. Alexander Green. The Gone Fishin' Portfolio: Get Wise, Get Wealthy...and Get on With Your Life (Agora Series). – М.: , 2008. – 256 с.
  57. Bennett A. McDowell. A Trader's Money Management System: How to Ensure Profit and Avoid the Risk of Ruin (Wiley Trading). – М.: , 2008. – 210 с.
  58. Lars Oxelheim, Clas Wihloborg. Corporate Decision-Making with Macroeconomic Uncertainty: Performance and Risk Management. – М.: , 2008. – 256 с.
  59. Lawrence S. Ritter, William L. Silber, Gregory F. Udell. Principles of Money, Banking & Financial Markets plus MyEconLab plus eBook 1-semester Student Access Kit (12th Edition). – М.: , 2008. – 672 с.
  60. Graham Turner. The Credit Crunch: Housing Bubbles,Globalisation and the Worldwide Economic Crisis. – М.: , 2008. – 238 с.
  61. David Brighouse, Janet Hontoir. Financial Markets and Risk. – М.: , 2008. – 342 с.
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  63. Mr Geoff Chaplin, Jim Aspinwall, Mark Venn. Life Settlements and Longevity Structures: Pricing and Risk Management (Wiley Finance). – М.: , 2009. – 274 с.
  64. Jack P. Friedman, Jack C. Harris and Skip Stearns. Keys To Buying Foreclosed and Bargain Homes. – М.: Barron's Educational Series, 2008. – 208 с.
  65. Handbook of Quantitative Finance and Risk Management. – М.: , 2010. – 1600 с.
  66. Stephen S. Roach. Stephen Roach on the Next Asia: Opportunities and Challenges for a New Globalization. – М.: John Wiley and Sons, Ltd, 2010. – 414 с.
  67. Edgar E. Peters. Complexity, Risk, and Financial Markets. – М.: , 2001. – 240 с.
  68. Moorad Choudhry. Bank Asset and Liability Management: Strategy, Trading, Analysis (+ CD-ROM). – М.: John Wiley and Sons, Ltd, 2007. – 1440 с.
  69. Edgar E. Peters. Complexity, Risk, and Financial Markets. – М.: , 1999. – 240 с.
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  72. Monique Jeanblanc, Marc Yor, Marc Chesney. Mathematical Methods for Financial Markets (Springer Finance). – М.: , 2009. – 757 с.
  73. Richard Bookstaber. A Demon of Our Own Design: Markets, Hedge Funds, and the Perils of Financial Innovation. – М.: John Wiley and Sons, Ltd, 2008. – 304 с.
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  76. Renu Martolia and S.P. Singh. Impact of Crop Loan on Farm Eonomy in Hilly Regions of India. – М.: LAP Lambert Academic Publishing, 2012. – 112 с.
  77. Karina Muzakova and Pavla Kubova. Solvency II Regime and the Financial Health of Insurance Companies. – М.: LAP Lambert Academic Publishing, 2014. – 160 с.
  78. Emmanuel Thompson and Rohana Ambagaspitiya. Valuation of Segregated Funds in India. – М.: LAP Lambert Academic Publishing, 2012. – 64 с.
  79. Zororo Stanelake Makumbe and Eriyoti G. Chikodza. Optimal Proportional Reinsurance Policies For Levy Markets With Costs. – М.: LAP Lambert Academic Publishing, 2010. – 64 с.
  80. Delia Teselios and Mihaela Albici. Probability and stochastic processes used in assessing options. – М.: LAP Lambert Academic Publishing, 2010. – 104 с.
  81. Brian Oduor,Benard Okelo and Silas Onyango. Financial mathematics. – М.: LAP Lambert Academic Publishing, 2011. – 72 с.
  82. Robert Slepaczuk and Grzegorz Zakrzewski. High-Frequency and Model-Free Volatility Estimators. – М.: LAP Lambert Academic Publishing, 2013. – 60 с.
  83. Suruchi Juneja and Bilal Ahmad Parray. Pre-Post Acquisition Comparison of Financial Performance of Companies. – М.: LAP Lambert Academic Publishing, 2012. – 80 с.
  84. Alexander N. Kostyuk,Olga Afanasyeva and Yaroslav Mozghovyi. Governance & Control In Finance & Banking. – М.: Scholars' Press, 2014. – 336 с.
  85. Dipasri Ghosh. Capital Markets and Financial Assets. – М.: LAP Lambert Academic Publishing, 2010. – 100 с.
  86. Baosheng Yuan. Key to Understanding Financial Market Risk. – М.: LAP Lambert Academic Publishing, 2010. – 232 с.
  87. Nwin-Anefo Fru Asaba and Hesam Aldin Shahrivar. An Integrated Appraisal of a Portland Cement Plant. – М.: LAP Lambert Academic Publishing, 2014. – 100 с.
  88. Joao Jose de Farias Neto. S-shaped Utility Functions and the Puzzles of the Financial Market. – М.: LAP Lambert Academic Publishing, 2010. – 112 с.
  89. Anna Fattor and Ackis Grammenidis. ZERO IMPACT OR ZERO RELIABILITY?. – М.: LAP Lambert Academic Publishing, 2010. – 144 с.
  90. Arian Shahmar. Futures Markets: Oil contracts and the case of Iran. – М.: LAP Lambert Academic Publishing, 2010. – 92 с.
  91. Yoon Je Cho. The Role of State in the Financial Sector. – М.: LAP Lambert Academic Publishing, 2010. – 68 с.
  92. Keegan Floquet. Capital Structure and Risk Dynamics Among Banks. – М.: LAP Lambert Academic Publishing, 2011. – 280 с.
  93. Feng-Yuan Moh and Bing-Huei Lin. Risk Issues on Banking Industry in Taiwan and Mainland China. – М.: LAP Lambert Academic Publishing, 2011. – 64 с.
  94. Vit Posta. Financial Risk and Real Economy. – М.: LAP Lambert Academic Publishing, 2013. – 120 с.
  95. Nombulelo Gumata,Mthuli Ncube and Eliphas Ndou. How are the US financial shocks transmitted into South Africa?. – М.: LAP Lambert Academic Publishing, 2013. – 60 с.
  96. Petr Jakubik. Financial Stability and Stress Testing. – М.: LAP Lambert Academic Publishing, 2014. – 144 с.
  97. Carlos Alberto Palomino Lazo and Aimee R. Kanyankogote. Extraction of Market Expectations from Option Prices. – М.: LAP Lambert Academic Publishing, 2011. – 96 с.
  98. Antonia Febe Hartono,Subiakto Soekarno and Sylviana Maya Damayanti. Islamic and Conventional Equity Fund Performance Comparison. – М.: LAP Lambert Academic Publishing, 2013. – 108 с.
  99. Ananda S. and Murugaiah V. Performance Appraisal of Indian Equity Funds. – М.: LAP Lambert Academic Publishing, 2013. – 196 с.
  100. Shahriar Ansari Chaharsoughi and Tahmores Hasangholipour Yasory. Sales Promotion in the Automakers of Iran and India. – М.: LAP Lambert Academic Publishing, 2012. – 156 с.
  101. Mohamed Elbannan and Mona ElBannan. The value of Disclosure. – М.: LAP Lambert Academic Publishing, 2012. – 92 с.
  102. Jaskaran Singh Dhillon and Ramita Verma. Asset - Liability Management in Banking Sector. – М.: LAP Lambert Academic Publishing, 2012. – 244 с.
  103. Zhongyi Xiao. Mastering the Return and Risk in the U.S. REITs. – М.: LAP Lambert Academic Publishing, 2014. – 96 с.
  104. Supreena Narayanan. Risk Arbitrage in U.S. Financial Markets. – М.: LAP Lambert Academic Publishing, 2012. – 48 с.
  105. Justin Beneke,Inge Lok and Kate Mallett. Perceived risks associated with premium private label brands. – М.: LAP Lambert Academic Publishing, 2010. – 60 с.
  106. Aditya Galih Prihartono,Ujang Sumarwan and Noer Azam Achsani Kirbrandoko. How Loyalty Effect Consumer Credit Risk?. – М.: LAP Lambert Academic Publishing, 2012. – 152 с.
  107. Majid Abbasi and Majid Dadashinasab. Mutual Fund Performance and Managers’ Characteristics. – М.: LAP Lambert Academic Publishing, 2012. – 52 с.
  108. Zhibek Rakhmetulina and Aigerim Rakhmetulina. Management of business risks in an uncertainty. – М.: LAP Lambert Academic Publishing, 2013. – 60 с.
  109. Rossano Giandomenico. Quantitative Models For Financial Markets. – М.: LAP Lambert Academic Publishing, 2014. – 60 с.
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Дополнительные результаты

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  2. Glen Arnold. Modern Financial Markets & Institutions: A Practical Perspective. – М.: , 2012. – 729 с.
  3. R. "Tee" Williams. Market Basics Set: An Introduction to Trading in the Financial Markets: Global Markets, Risk, Compliance, and Regulation. – М.: , 2012. – 472 с.
  4. Giorgio S. Questa. Fixed Income Analysis for the Global Financial Market: Money Market, Foreign Exchange, Securities, and Derivatives. – М.: Wiley, 1999. – 368 с.
  5. Forecasting Volatility in the Financial Markets (Quantitative Finance Series). – М.: , 0. – 0 с.
  6. Ruben Lee. What is an Exchange? The Automation, Management, and Regulation of Financial Markets. – М.: , 0. – 0 с.
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  9. Munawar Iqbal, David T. Llewellyn, International Conference on Islamic Economics and Banking 2000 Loughb. Islamic Banking and Finance: New Perspectives on Profit Sharing and Risk. – М.: , 0. – 0 с.
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  23. Christian L. Dunis, Bin Zhou. Nonlinear Modelling of High Frequency Financial Time Series (Financial Economics and Quantitative Analysis Series). – М.: , 0. – 0 с.
  24. Ferdinand E. Banks. Global Finance and Financial Markets: A Modern Introduction. – М.: , 0. – 0 с.
  25. Liam A. Gallagher, Mark P. Taylor. Speculation and Financial Markets (International Library of Critical Writings in Economics, 143). – М.: , 0. – 0 с.
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  27. Morten Balling, Elizabeth Hennessy, Richard O'Brien, Elizabeth Hennessey, Societe Universitaire Europeenne De Recherches Financieres. Corporate Governance, Financial Markets and Global Convergence. – М.: , 0. – 0 с.
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  29. Alison Harwood, Robert E. Litan, Michael Pomerleano. Financial Markets and Development: The Crisis in Emerging Markets. – М.: , 0. – 0 с.
  30. Meir G. Kohn. Financial Institutions and Markets. – М.: , 0. – 0 с.
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  36. Laurent L. Jacque, Paul M. Vaaler. Financial Innovations and the Welfare of Nations: How Cross-Border Transfers of Financial Innovations Nurture Emerging Capital Markets. – М.: , 0. – 0 с.
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  63. Marie-Renee Bakker. Development of Non-Bank Financial Institutions and Capital Markets in European Union Accession Countries (World Bank Working Papers). – М.: , 2004. – 0 с.
  64. Glen Arnold. The Financial Times Guide To Investing: The Definitive Companion To Investment and The Financial Markets. – М.: , 2004. – 0 с.
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  92. Ajay Shah, Susan Thomas, Michael Gorham. India's Financial Markets: An Insider's Guide to How the Markets Work (Elsevier and IIT Stuart Center for Financial Markets Press). – М.: , 2008. – 224 с.
  93. Handbook of Finance: Financial Markets and Instruments. – М.: Wiley, 2009. – 852 с.
  94. Bennett A. McDowell. A Trader's Money Management System: How to Ensure Profit and Avoid the Risk of Ruin (Wiley Trading). – М.: , 2008. – 210 с.
  95. David Hillier, Mark Grinblatt, Sheridan Titman. Financial Markets and Corporate Strategy. – М.: , 2008. – 864 с.
  96. Jeff Madura. Financial Markets and Institutions, Abridged Edition (with Stock Coupon). – М.: , 2008. – 742 с.
  97. Lars Oxelheim, Clas Wihloborg. Corporate Decision-Making with Macroeconomic Uncertainty: Performance and Risk Management. – М.: , 2008. – 256 с.
  98. Lawrence S. Ritter, William L. Silber, Gregory F. Udell. Principles of Money, Banking & Financial Markets plus MyEconLab plus eBook 1-semester Student Access Kit (12th Edition). – М.: , 2008. – 672 с.
  99. Ibp Usa. Ghana Financial Market Business Opportunities and Regulations Handbook (World Strategic and Business Information Library). – М.: , 2008. – 300 с.
  100. Ibp Usa. Cyprus Financial Market Investment and Business Opportunities Yearbook (World Strategic and Business Information Library). – М.: , 2008. – 300 с.
  101. Ibp Usa. Brazil Banking and Financial Market Business Intelligence Report (World Strategic and Business Information Library). – М.: , 2008. – 300 с.
  102. David Brighouse, Janet Hontoir. Financial Markets and Risk. – М.: , 2008. – 342 с.
  103. Robert Holzmann. Aging Population, Pension Funds, and Financial Markets: Regional Perspectives and Global Challenges for Central, Eastern and Southern Europe (Directions in Development). – М.: , 2009. – 115 с.
  104. John B. Guerard. Corporate Financial Policy and R&D Management (+ CD-ROM). – М.: John Wiley and Sons, Ltd, 2005. – 304 с.
  105. Jean Dermine. Bank Valuation and Value-Based Management: Deposit and Loan Pricing, Performance Evaluation, and Risk Management. – М.: , 2009. – 432 с.
  106. Mr Geoff Chaplin, Jim Aspinwall, Mark Venn. Life Settlements and Longevity Structures: Pricing and Risk Management (Wiley Finance). – М.: , 2009. – 274 с.
  107. Frank J. Fabozzi, Franco P. Modigliani, Frank J. Jones. Foundations of Financial Markets and Institutions. – М.: Prentice Hall, 2010. – 720 с.
  108. Frederic S. Mishkin, Stanley G. Eakins. Financial Markets & Institutions. – М.: Prentice Hall, Pearson Education, Inc., 2012. – 704 с.
  109. R. "Tee" Williams. An Introduction to Trading in the Financial Markets: Market Basics. – М.: Academic Press, 2010. – 334 с.
  110. Anatoly Schmidt. Financial Markets and Trading Strategies. – М.: , 2011. – 400 с.
  111. Edgar E. Peters. Complexity, Risk, and Financial Markets. – М.: , 2001. – 240 с.
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  114. Edited by Eilis Ferran and Charles Goodhart. Regulating Financial Services and Markets in the 21st Century. – М.: , 2011. – 352 с.
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  118. Chukwudi Ernest Okeke,Chika Onwasigwe and Madu Daniel Ibegbu. HIV/AIDS:Knowledge and Risk-Related Behaviours in Army Community. – М.: LAP Lambert Academic Publishing, 2013. – 68 с.
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Лучшие результаты

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Дополнительные результаты

  1. Наука человековедения. интервью с Д. Уолтоном, профессором London Metropolitan University, экспертом CIPD. Chartered Institute of Personnel and Development, автором программы Master of Arts in Human Resource Strategies. И. Смирнова, "Кадровый менеджмент", № 5, июль-август 2007.
  2. Специализированный модуль FS-CD. Collections and Disbursements - "Сборы и Выплаты" и его возможности. О.А. Глущенко, "Финансовый менеджмент в страховой компании", № 2, II квартал 2007.
  3. Бюджетирование страховой компании на базе Oracle Enterprise Planning and Budgeting. Д.В. Лесоводский, "Финансовый менеджмент в страховой компании", № 3, III квартал 2006.
  4. Два монитора извольте, кофе-машину, широкое кресло, свободный график.... интервью с Ю. Малягановой, директором департамента управления персоналом SUP Media, А. Найко, специалистом по подбору персонала компании CUSTIS, А. Шевченко, руководителем отдела по подбору персонала компании Veeam Software в Европе и регионе Emerging Markets. В. Гусева, "Управление персоналом", N 9, май 2012 г.
  5. Регулирование операций торгового финансирования: новые инициативы. интервью с Д. Шмандом, вице-председателем Банковской комиссии ICC по supply chain finance, главой подразделения Trade Finance and Cash Management Corporates EMEA в Global Transaction Banking. GTB division Deutsche Bank. Н. Макарова, "Международные банковские операции", N 2, апрель-июнь 2012 г.
  6. Risk-based pricing: посткризисные тенденции. А.В. Гидулян, "Банковское кредитование", N 1, январь-февраль 2012 г.
  7. Ужин в темноте в стиле Малевича и Новый год в Хаммере". Что может выть лучше?". интервью с Н. Саниной, индивидуальным предпринимателем и креативным директором компании "San and stars". М. Сипатова, "Арсенал предпринимателя", N 12, декабрь 2011 г.
  8. На пути к новому стандарту в торговом финансировании. интервью с А.  Кастерманом, руководителем Trade and Supply Chain, SWIFT, сопредседателем рабочей группы ICC-BPO. Э. Шакирова, "Международные банковские операции", N 4, октябрь-декабрь 2011 г.
  9. Уильям Савадж: Мотивировать людей в Нижнем Новгороде и Новосибирске нужно по-разному". интервью с У. Саваджем, вице-президентом корпорации Intel, подразделение Software and Services Group. М. Холкина, "Управление персоналом", N 14, июль 2010 г.
  10. Цены под контролем: the present and the future. С. Стройкова, И. Леметюйнен, "Консультант", № 19, сентябрь 2009.
  11. Кто вы, CHIEF RISK OFFICER. М. Уилкинсон, "Риск-менеджмент", № 9-10, сентябрь-октябрь 2008.
  12. Ключ к проблеме привлечения инвестиций российскими банками". интервью с Н. Леманом, партнером консалтинговой компании Financial Consulting Group. С.Ю. Муртузалиева, "МСФО и МСА в кредитной организации", № 1, январь-март 2008.

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Политология
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Елена
Спасибо большое, за очень быструю и качественную работу!Очень мне помогли!Жаль,что не знала вас раньше!