Написать рефераты, курсовые и дипломы самостоятельно.  Антиплагиат.
Студенточка.ru: на главную страницу. Написать самостоятельно рефераты, курсовые, дипломы  в кратчайшие сроки
Рефераты, курсовые, дипломные работы студентов: научиться писать  самостоятельно.
Контакты Образцы работ Бесплатные материалы
Консультации Специальности Банк рефератов
Карта сайта Статьи Подбор литературы
Научим писать рефераты, курсовые и дипломы.


подбор литературы периодические источники литература по предмету

Воспользуйтесь формой поиска по сайту, чтобы подобрать полный список использованной литературы.
Если вы хотите выбрать для списка литературы книги определенного года издания, достаточно дописать его к поисковому запросу.

Результаты поиска

Поиск материалов

Лучшие результаты

  1. K. Samsudheen and G. Shanmugasundaram. Foreign exchange rate exposure and its management. – М.: LAP Lambert Academic Publishing, 2013. – 120 с.
  2. Parixit Mehta. Forex and Interest Rate Risk Management. – М.: LAP Lambert Academic Publishing, 2011. – 76 с.

Дополнительные результаты

  1. Stephen Ward, Chris Chapman. How to Manage Project Opportunity and Risk: Why Uncertainty Management can be a Much Better Approach than Risk Management. – М.: , 2012. – 520 с.
  2. Lionel Martellini, Philippe Priaulet, StA©phane Priaulet. Fixed-Income Securities : Valuation, Risk Management and Portfolio Strategies (The Wiley Finance Series). – М.: , 0. – 0 с.
  3. John J. Stephens. Managing Interest Rate Risk : Using Financial Derivatives (Institute of Internal Auditors Risk Management Series). – М.: , 0. – 0 с.
  4. Christopher Lee Marshall. Measuring and Managing Operational Risks in Financial Institutions : Tools, Techniques, and other Resources (Wiley Frontiers in Finance). – М.: , 0. – 0 с.
  5. Carol Alexander. Risk Management and Analysis, Measuring and Modelling Financial Risk (Wiley Series in Financial Engineering). – М.: , 0. – 0 с.
  6. David A. Dubofsky, Thomas W. Miller. Derivatives: Valuation and Risk Management. – М.: , 0. – 0 с.
  7. Eddie Cade. Managing Banking Risks: Reducing Uncertainty to Improve Bank Performance. – М.: , 0. – 0 с.
  8. Adrian R. Bowden, Malcolm R. Lane, Julia H. Martin. Triple Bottom Line Risk Management: Enhancing Profit, Environmental Performance, and Community Benefits. – М.: , 0. – 0 с.
  9. Frank J. Fabozzi. Measuring and Controlling Interest Rate Risk (Frank J. Fabozzi Series). – М.: , 0. – 0 с.
  10. Marilyn Greenstein, Todd M. Feinman. Electronic Commerce: Security Risk Management and Control. – М.: , 0. – 0 с.
  11. Jie Lu, Lakhmi C Jain, Guangquan Zhang. Handbook on Decision Making: Vol 2: Risk Management in Decision Making (Intelligent Systems Reference Library). – М.: , 2012. – 472 с.
  12. Damiano Brigo, Fabio Mercurio. Interest Rate Models - Theory and Practice: With Smile, Inflation and Credit (Springer Finance). – М.: Springer, 2006. – 982 с.
  13. Global Portfolio Diversification : Risk Management, Market Microstructure, and Implementation Issues. – М.: , 0. – 0 с.
  14. Risk Management, Speculation, and Derivative Securities. – М.: , 0. – 0 с.
  15. Louis-Philippe Rochon, Matias Vernengo. Credit, Interest Rates and the Open Economy: Essays on Horizontalism. – М.: , 0. – 0 с.
  16. Francis Achampong. Workplace Sexual Harassment Law : Principles, Landmark Developments, and Framework for Effective Risk Management. – М.: , 0. – 0 с.
  17. Reto Gallati. Risk Management and Capital Adequacy. – М.: McGraw-Hill, 2003. – 550 с.
  18. Preston G. Smith, Guy M. Merritt. Proactive Risk Management : Controlling Uncertainty in Product Development. – М.: , 0. – 0 с.
  19. Roland Demmel. Fiscal Policy, Public Debt and the Term Structure of Interest Rates (Lecture Notes in Economics and Mathematical Systems, 476). – М.: , 0. – 0 с.
  20. Ghassem A. Homaifar. Managing Global Financial and Foreign Exchange Rate Risk. – М.: , 0. – 0 с.
  21. Meher Manzur. Exchange Rates, Interest Rates and Commodity Prices. – М.: , 0. – 0 с.
  22. Committee on Prospects and Opportunities for Sustainable Management Of, National Research Council. Forested Landscapes in Perspective: Prospects and Opportunities for Sustainable Management of America's Nonfederal Forests (Agriculture). – М.: , 0. – 0 с.
  23. Dennis G. Uyemura, Donald R. van Deventer. Financial Risk Management In Banking: The Theory and Application of Asset and Liability Management. – М.: McGraw-Hill, 1992. – 350 с.
  24. 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.
  25. Benton E. Gup. The Bank Director's Handbook: The Board Member's Guide to Banking & Bank Management. – М.: Irwin Professional Publishing, 1996. – 364 с.
  26. Gary Shoup. Currency Risk Management: A Handbook for Financial Managers, Brokers, and Their Consultants. – М.: , 0. – 0 с.
  27. Eve Coles, Denis Smith, Steve Tombs. Risk Management and Society (Advances in Natural and Technological Hazards Research, Volume 16). – М.: , 0. – 0 с.
  28. Thomas S. Y. Ho, Sang Bin Lee. The Oxford Guide to Financial Modeling: Applications for Capital Markets, Corporate Finance, Risk Management and Financial Institutions. – М.: Oxford University Press, 2004. – 736 с.
  29. Mary Hardy, Mary Hardy. Investment Guarantees: The New Science of Modeling and Risk Management for Equity-Linked Life Insurance. – М.: , 0. – 0 с.
  30. Andrew J. G. Cairns. Interest Rate Models: An Introduction. – М.: Princeton University Press, 2004. – 288 с.
  31. Frank J. Fabozzi. Bond Portfolio Management, 2nd Edition. – М.: , 0. – 0 с.
  32. Frank J. Fabozzi. Duration, Convexity, and Other Bond Risk Measures. – М.: Wiley, 1999. – 258 с.
  33. Martin Gorrod. Risk Management Systems: Process, Technology and Trends (Finance and Capital Markets Series). – М.: , 0. – 0 с.
  34. Wayne L. Winston, Wayne Winston. Financial Models Using Simulation and Optimization II: Investment. – М.: , 0. – 0 с.
  35. Mary S. Ludwig. Understanding Interest Rate Swaps. – М.: , 0. – 0 с.
  36. Keith Cuthbertson, Dirk Nitzsche. Financial Engineering: Derivatives and Risk Management. – М.: , 0. – 0 с.
  37. Simona Svoboda. Interest Rate Modelling (Finance and Capital Markets Series). – М.: , 0. – 0 с.
  38. Carol Alexander. Risk Management and Analysis, New Markets and Products (Wiley Series in Financial Engineering). – М.: , 0. – 0 с.
  39. Satyajit Das. Swaps and Financial Derivatives : Products, Pricing, Applications and Risk Management (Wiley Finance). – М.: , 0. – 0 с.
  40. David F. Babbel, Frank J. Fabozzi. Investment Management for Insurers (Frank J. Fabozzi Series). – М.: Wiley, 1999. – 570 с.
  41. Richard Oberuc. Dynamic Portfolio Theory and Management. – М.: , 0. – 0 с.
  42. N. H. Bingham, Rudiger Kiesel, Nicholas Bingham. Risk-Neutral Valuation: Pricing and Hedging of Financial Derivitives (Springer Finance). – М.: , 2004. – 0 с.
  43. Kevin Dowd. Beyond Value at Risk: The New Science of Risk Management. – М.: John Wiley and Sons, Ltd, 2003. – 276 с.
  44. Frank J. Fabozzi. Advances in Fixed Income Valuation Modeling and Risk Management (Frank J. Fabozzi Series). – М.: , 0. – 0 с.
  45. Susan M. Mangiero. Risk Management for Pensions, Endowments and Foundations (Frank J. Fabozzi Series). – М.: , 0. – 0 с.
  46. M. Anthony Wong. Trading and Investing in Bond Options: Risk Management, Arbitrage, and Value Investing. – М.: , 0. – 0 с.
  47. Richard Horwitz. Hedge Fund Risk Fundamentals: Solving the Risk Management and Transparency Challenge. – М.: , 0. – 0 с.
  48. Giampiero E. G. Beroggi, William A. Wallace. Operational Risk Management: The Integration of Decision, Communications, and Multimedia Technologies. – М.: , 0. – 0 с.
  49. Angelo Arvanitis, Jon Gregory. Credit: The Complete Guide to Pricing, Hedging and Risk Management. – М.: , 0. – 0 с.
  50. William J. Palmer, James M. Maloney, John L. Heffron. Construction Insurance, Bonding, and Risk Management. – М.: McGraw-Hill Professional Publishing, 1996. – 384 с.
  51. Lars Jaeger. The New Generation of Risk Management for Hedge Funds and Private Equity Investments. – М.: Euromoney Institutional Investor PLC, 2004. – 462 с.
  52. From Disaster Response to Risk Management : Australia's National Drought Policy (Advances in Natural and Technological Hazards Research). – М.: , 2005. – 0 с.
  53. Moorad Choudhry. Bond and Money Markets : Strategy, Trading, Analysis. – М.: , 2003. – 0 с.
  54. L. Gajek. Financial Risk Management for Pension Plans. – М.: , 2005. – 0 с.
  55. World Bank. Household Risk Management And Social Protection In Chile (World Bank Country Study). – М.: , 2004. – 0 с.
  56. Karen A. Horcher. Essentials of Financial Risk Management (Essentials Series). – М.: , 2005. – 0 с.
  57. Tony Merna. Corporate Risk Management : An Organisational Perspective. – М.: , 2005. – 0 с.
  58. Donald R. Van Deventer, Kenji Imai, Mark Mesler. Advanced Financial Risk Management: Tools and Techniques for Integrated Credit Risk and Interest Rate Risk Managements. – М.: John Wiley and Sons, Ltd, 2005. – 670 с.
  59. Simon Vine. Options : Trading Strategy and Risk Management (Wiley Finance). – М.: , 2005. – 0 с.
  60. Peter Christoffersen. Elements of Financial Risk Management. – М.: , 2003. – 0 с.
  61. Martin Robinson, Simon Cook. Clinical Trials Risk Management. – М.: , 2005. – 232 с.
  62. Ruth Taplin. Risk Management and Innovation in Japan, Britain and the USA (Routledge Studies in the Growth Economies of Asia 1). – М.: , 2005. – 182 с.
  63. Peggy M. Jackson. Nonprofit Risk Management & Contingency Planning: Done in a Day Strategies. – М.: , 2006. – 224 с.
  64. Charles A. Fishkin. The Shape of Risk: A New Look at Risk Management (Finance and Capital Markets). – М.: , 2005. – 432 с.
  65. Professional Risk Manager's International Association (PRMIA). The Professional Risk Managers' Guide to Financial Theory and Application (Primia Risk Management). – М.: , 2007. – 400 с.
  66. Professional Risk Manager's International Association (PRMIA). The Professional Risk Managers' Guide to Financial Markets (Prmia Risk Management Series). – М.: , 2007. – 400 с.
  67. Professional Risk Manager's International Association (PRMIA). The Professional Risk Manager's Guide to Financial Instruments (Prmia Risk Management Series). – М.: , 2007. – 400 с.
  68. Professional Risk Manager's International Association (PRMIA). The Professional Risk Managers' Guide to the Energy Market (Prmia Risk Management Series). – М.: , 2007. – 400 с.
  69. Margaret Woods, Peter Kajuter, Philip Linsley. International Risk Management: Systems, Internal Control and Corporate Governance. – М.: CIMA Publishing, 2007. – 224 с.
  70. Armelle Guizot. China's Economy: The Financial and Banking System, Foreign Exchange and Interest Rate Risk Policies. – М.: , 2007. – 361 с.
  71. Frank J. Fabozzi. Fixed Income Analysis. – М.: John Wiley and Sons, Ltd, 2007. – 768 с.
  72. Tony Merna, Faisal F. Al-Thani. Corporate Risk Management. – М.: , 2008. – 440 с.
  73. Lars Oxelheim, Clas Wihloborg. Corporate Decision-Making with Macroeconomic Uncertainty: Performance and Risk Management. – М.: , 2008. – 256 с.
  74. Rafael De Santiago. Derivatives Markets with Stochastic Volatility: Interest-Rate Derivatives and Value-at-Risk. – М.: , 2008. – 180 с.
  75. Mohan Bhatia. Credit Risk Management and Basel II. – М.: Risk Books, 2006. – 450 с.
  76. Jean Dermine. Bank Valuation and Value-Based Management: Deposit and Loan Pricing, Performance Evaluation, and Risk Management. – М.: , 2009. – 432 с.
  77. Mr Geoff Chaplin, Jim Aspinwall, Mark Venn. Life Settlements and Longevity Structures: Pricing and Risk Management (Wiley Finance). – М.: , 2009. – 274 с.
  78. Charles Priester, Jincheng Wang. Financial Strategies for the Manager (Tsinghua University Texts). – М.: , 2010. – 210 с.
  79. Christine Helliar. Interest Rate Risk Management. – М.: CIMA Publishing, 2005. – 112 с.
  80. Paul M. Collier. Fundamentals of Risk Management for Accountants and Managers: Tools and Techniques. – М.: Elsevier, 2009. – 302 с.
  81. Managing Global Financial and Foreign Exchange Rate Risk. – М.: , 2004. – 400 с.
  82. Sanjay K. Nawalkha. Interest Rate Risk Modeling. – М.: , 2005. – 396 с.
  83. Amir Sadr. Interest Rate Swaps and Their Derivatives. – М.: , 2009. – 248 с.
  84. Mark Britten-Jones. Fixed Income and Interest Rate Derivative Analysis. – М.: , 2010. – 220 с.
  85. Perspectives on Interest Rate Risk Management for Money Managers and Traders. – М.: , 1998. – 272 с.
  86. Enterprise Risk Management. – М.: , 2011. – 320 с.
  87. S.H.M. Fakhruddin,Mukand S. Babel and Akiyuki Kawasaki. A decision support framework for flood risk management. – М.: LAP Lambert Academic Publishing, 2012. – 100 с.
  88. Peter Nilsson and Erik Ohlsson. Categorisation and formulation in risk management. – М.: LAP Lambert Academic Publishing, 2010. – 100 с.
  89. Harikumar Rajaguru,Vinoth kumar Bojan and Ganesh Babu Chidhambaram. Adaptive modulation techniques and coding rate for OFDM systems. – М.: LAP Lambert Academic Publishing, 2013. – 68 с.
  90. Jee Grace Suyo,Alice Prieto-Carolino and Rodelio Subade. Disaster Risk Reduction and Management and its Implications for CRM. – М.: LAP Lambert Academic Publishing, 2012. – 92 с.
  91. H.S. Mogalekar and Canciyal Johnson. Remote Sensing and GIS for Fisheries Management. – М.: LAP Lambert Academic Publishing, 2015. – 132 с.
  92. Rang Lal Meena and Dasharath Prasad. Performance of linseed to fertility levels and seed rates in dryland. – М.: LAP Lambert Academic Publishing, 2012. – 80 с.
  93. Adrian Busuttil,Anthony Serracino-Inglott and Lilian M. Azzopardi. Use of Quality Risk Management for ensuring Good Distribution Practice. – М.: LAP Lambert Academic Publishing, 2014. – 272 с.
  94. Henry Obeng Tawiah and Peterson Owusu Junior. Interest Rate Derivatives. – М.: LAP Lambert Academic Publishing, 2012. – 60 с.
  95. Uzma Ashraf. Basel Regulations And Operational Risk Management. – М.: LAP Lambert Academic Publishing, 2012. – 104 с.
  96. Nagah Eldaghar,Abdalla Shehata and Hoda Zaki. Risk Management in the Main University Hospital in Alexandria. – М.: LAP Lambert Academic Publishing, 2011. – 224 с.
  97. Girma Temam Shifa and Ahmed Ali. Premarital HIV testing results and discordant rate. – М.: LAP Lambert Academic Publishing, 2011. – 76 с.
  98. Bibhuti Bhusan Gadanayak and Dr. Jayant K Routray. A path to disaster resilient communities. – М.: LAP Lambert Academic Publishing, 2010. – 160 с.
  99. Azadeh Sarkheyli,Norafida binti Ithnin and Arezoo Sarkheyli. Dynamic Risk Management Approach Using Immune System. – М.: LAP Lambert Academic Publishing, 2013. – 56 с.
  100. Jubril Olukayode Lasisi. Structure and impact of interest rate on Nigeria Economy (1970-2002). – М.: LAP Lambert Academic Publishing, 2012. – 76 с.
  101. Hafez Abdo and Firas Wakkas. Islamic Finance. – М.: LAP Lambert Academic Publishing, 2011. – 100 с.
  102. Waqar Akram and ZAKIR HUSSAIN. Constraint’s Analysis of Agricultural Credit Use in Pakistan. – М.: LAP Lambert Academic Publishing, 2011. – 92 с.
  103. Lidija Barjaktarovic and Maja Dimic. Assessment of interest rates in SEE countries during crisis. – М.: LAP Lambert Academic Publishing, 2014. – 108 с.
  104. Pih Nee Tai and Siok Kun Sek. The Dynamic of Interest Rate Pass-through. – М.: LAP Lambert Academic Publishing, 2011. – 80 с.
  105. Niyati Bhanja. Exchange Rate Risk and Labour Intensive Export Demand. – М.: LAP Lambert Academic Publishing, 2013. – 84 с.
  106. Shabnam Fazli Aghghaleh,Zakiah Mohammadun Mohammed and Azlina Ahmad. Internal Auditing and Risk Management. – М.: LAP Lambert Academic Publishing, 2012. – 144 с.
  107. Anass Bayaga and George Moyo. APPLICABILITY AND RELEVANCE OF A BUSINESS RISK MANAGEMENT. – М.: LAP Lambert Academic Publishing, 2011. – 256 с.
  108. 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.
  109. Kheswar Chandan Jankee. Interest rate policies and economic management in emerging economies. – М.: LAP Lambert Academic Publishing, 2013. – 336 с.
  110. Huseyin SENTURK and Mehmet Ali KARADAG. INTEREST RATE MODELS FOR PRICING ZERO COUPON BOND OPTIONS. – М.: LAP Lambert Academic Publishing, 2010. – 100 с.
  111. MUBUSISI MABUKU and Dr Selma Karuaihe. INVESTIGATING THE STABILITY OF MONEY DEMAND IN NAMIBIA. – М.: LAP Lambert Academic Publishing, 2010. – 84 с.
  112. David Wakaisuka and Wakaisuka Juliet. Factors of Accessibility to MFIs services in Kamuli District Uganda. – М.: LAP Lambert Academic Publishing, 2013. – 60 с.
  113. Stan Maes. Modeling the Term Structure of Interest Rates Across Countries. – М.: LAP Lambert Academic Publishing, 2009. – 264 с.
  114. George Oreku. THE IMPACT OF HIGH INTEREST RATE TO THE GROWTH OF SMEs THE CASE STUDY TANZANIAN BANKS. – М.: LAP Lambert Academic Publishing, 2010. – 60 с.
  115. Nadia Jaweed and Zahid Mahmood. An Appraisal of Enterprise Risk Management. – М.: LAP Lambert Academic Publishing, 2013. – 196 с.
  116. Samuel Ntsiful and Makiwa Mwenechanya. The Independence and Objectivity of the Internal Auditor. – М.: LAP Lambert Academic Publishing, 2011. – 68 с.
  117. Chala Diriba and Fisseha Girmay. Credit Risk Management. – М.: LAP Lambert Academic Publishing, 2012. – 108 с.
  118. Norlida Abdul Manab,Isahak Kassim and Mohd Rasid Hussin. Enterprise-Wide Risk Management (EWRM) Practices. – М.: LAP Lambert Academic Publishing, 2013. – 256 с.
  119. Jaskaran Singh Dhillon and Ramita Verma. Asset - Liability Management in Banking Sector. – М.: LAP Lambert Academic Publishing, 2012. – 244 с.
  120. Mohd Ariff Kasim,Asmah Abdul Aziz and Isahak Kasim. Enterprise Risk Management (ERM) in Malaysia. – М.: LAP Lambert Academic Publishing, 2011. – 456 с.
  121. Yuansheng Li and Nga Phuong Nguyen. Project Risk Management. – М.: LAP Lambert Academic Publishing, 2013. – 128 с.
  122. Leonard Langat,Bernard K. Rop and Bellah Chepkulei. Effect of Interest Rates Spread on Performance. – М.: LAP Lambert Academic Publishing, 2013. – 84 с.
  123. Elizabeth Kalunda,Beatrice Nduku and John Kabiru. Credit Risk Management Practices. – М.: LAP Lambert Academic Publishing, 2011. – 72 с.
  124. Harpreet Kaur Kohli and Arvinder Singh Chawla. Asset Liability Management in Banks. – М.: LAP Lambert Academic Publishing, 2013. – 356 с.
  125. William Chiliya. Risk Management Techniques By SMEs In The Construction Industry. – М.: LAP Lambert Academic Publishing, 2014. – 188 с.
  126. Ahmed Zemzem and OumeIma Kacem. Risk management, board characteristics and performance. – М.: LAP Lambert Academic Publishing, 2014. – 104 с.
  127. Ayse Kucuk Yilmaz. REPUTATION RISK MANAGEMENT AND CORPORATE SUSTAINABILITY. – М.: LAP Lambert Academic Publishing, 2010. – 624 с.
  128. Pankaj Dashore and Rachna Dashore. Risk Management Through Fuzzy Logic. – М.: LAP Lambert Academic Publishing, 2013. – 144 с.
  129. Tobias Olweny and Kenedy Omondi. The Effect of Macro-Economic Factors on stock return Volatility at NSE. – М.: LAP Lambert Academic Publishing, 2012. – 72 с.
  130. Mohammad Osman Abdul Qadeer,Konstantinos Tolikas and Searat Ali. Use of Derivatives in Risk Management. – М.: LAP Lambert Academic Publishing, 2012. – 80 с.
  131. Ion Nitu and Dan Armeanu. Credit Risk Management. – М.: LAP Lambert Academic Publishing, 2012. – 180 с.
  132. Andrey Gurov. Risk Management Sophistication and Bank Profitability. – М.: LAP Lambert Academic Publishing, 2014. – 88 с.
  133. James Odongo and Samuel Odeke. Interest rate risk exposure&Fin.Performance of commercial banks-Uganda. – М.: LAP Lambert Academic Publishing, 2014. – 52 с.
  134. Luminita Ion and Laurentiu Fratila. Risk - Important part of banking management. – М.: LAP Lambert Academic Publishing, 2013. – 60 с.
  135. Akmal Shahzad,Tanvir Ahmed and Irfan Ahmed. Determinants of Interest Rate Spread. – М.: LAP Lambert Academic Publishing, 2012. – 68 с.
  136. Vikas Srivastava. Project Finance and Measurement of Risk. – М.: LAP Lambert Academic Publishing, 2012. – 496 с.
  137. Najaf Gharachourlou Aghjelou. Risk analysis and Risk management in Banks. – М.: LAP Lambert Academic Publishing, 2012. – 232 с.
  138. Owais Shafique. Risk Management Practices of IFIs Vs. CFIs in Pakistan. – М.: LAP Lambert Academic Publishing, 2012. – 68 с.
  139. Parixit Mehta. Forex and Interest Rate Risk Management. – М.: LAP Lambert Academic Publishing, 2011. – 76 с.
  140. Mohd. Nasar and Md Abu Kausar. Design and Development of Trainees Management System Using Asp.Net. – М.: , 2013. – 120 с.

Лучшие результаты

Ничего не найдено

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. Фундаментальный анализ рынка Forex. Н.В. Солабуто, "Финансовый менеджмент в страховой компании", № 2, II квартал 2007.
  3. 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.
  4. Бюджетирование страховой компании на базе Oracle Enterprise Planning and Budgeting. Д.В. Лесоводский, "Финансовый менеджмент в страховой компании", № 3, III квартал 2006.
  5. Обзор конференций. Начало торгов фьючерсами на процентные ставки MosIBOR и MosPrime Rate. Н. Бутузова, "Международные банковские операции", № 3, май-июнь 2006.
  6. Индекс MosPrime Rate - за и против. Д. Назаркин, "Банковское дело в Москве", № 12, декабрь 2005.
  7. BUSINESS PROCESS MANAGEMENT: система для руководителя. А. Крючкова, "Финансовая газета. Региональный выпуск", № 24, июнь 2005.
  8. Построение системы мотивации по технологии BUSINESS UNIT MANAGEMENT. В. Лунин, "Финансовая газета. Региональный выпуск", № 16, апрель 2005.
  9. Business performance management: источники эффективности. О. Духонина, П. Горянский, "Финансовая газета. Региональный выпуск", № 20, май 2004.
  10. Health management: совершенствуем здоровый образ работы. С. Царенко, "Кадровик.ру", N 5, май 2012 г.
  11. 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.
  12. Lifestyle management и консьерж-сервис. А.И. Гусев, "Банковский ритейл", N 1, I квартал 2012 г.
  13. Ошибки при формировании и развитии бизнеса private banking & wealth management. А.В. Александров, "Банковский ритейл", N 1, I квартал 2012 г.
  14. Risk-based pricing: посткризисные тенденции. А.В. Гидулян, "Банковское кредитование", N 1, январь-февраль 2012 г.
  15. 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.
  16. 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.
  17. Business Intelligence и Business Performance Management: основные термины и концепции. Ю.В. Амириди, "Управление в кредитной организации", N 5, сентябрь-октябрь 2011 г.
  18. Взаимодействие блока private banking & wealth management с розничным бизнесом. А.В. Александров, "Банковский ритейл", N 3, III квартал 2011 г.
  19. Сегментация клиентов в бизнесе private banking & wealth management. Н.В.  Чумак, "Банковский ритейл", N 1, I квартал 2011 г.
  20. 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.
  21. Мотивируйте людей на работу, а не на преданность. интервью с Д.  Кленовым, партнером UFG Wealth Management. "Управление персоналом", N 14, июль 2010 г.
  22. Цены под контролем: the present and the future. С. Стройкова, И. Леметюйнен, "Консультант", № 19, сентябрь 2009.
  23. Доход физического лица, полученный от операций на рынке Forex. П.С. Лещинер, "Официальные материалы для бухгалтера. Комментарии и консультации", № 7, апрель 2009.
  24. Business performance management: современный взгляд. Д. Исаев, "Финансовая газета", № 10, 11, март 2009.
  25. Кто вы, CHIEF RISK OFFICER. М. Уилкинсон, "Риск-менеджмент", № 9-10, сентябрь-октябрь 2008.
  26. Директора заблудились между governance и management. А. Верников, "Банковское обозрение", № 8, август 2008.
  27. Отечественный private banking продолжает эволюционировать в сторону private wealth management. А.И. Гусев, "Инвестиционный банкинг", № 3, III квартал 2008.

Образцы работ

Тема и предметТип и объем работы
Анализ финансового состояния предприятия
Анализ хозяйственной деятельности
Диплом
188 стр.
Антикризисное финансовое управление.
Антикризисное управление
Диплом
87 стр.
Антикризисные мероприятия в торговой фирме
Антикризисное управление
Диплом
161 стр.
Коммерческие банки как субъект кредитного рынка, их операции и сделки
Банковский менеджмент
Диплом
87 стр.

Задайте свой вопрос по вашей теме

Гладышева Марина Михайловна

marina@studentochka.ru
+7 911 822-56-12
с 9 до 21 ч. по Москве.






Добавить файл

- осталось написать email или телефон

Контакты
marina@studentochka.ru
+7 911 822-56-12
с 9 до 21 ч. по Москве.
Поделиться
Мы в социальных сетях
Реклама



Отзывы
Денис, 18.05
Спасибо за оперативность.