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Лучшие результаты

  1. Various Authors. Finance Essentials. – М.: , 2012. – 704 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. Anthony E. Spare. Relative Dividend Yield: Common Stock Investing for Income and Appreciation, 2nd Edition. – М.: , 0. – 0 с.
  5. Eddie Cade. Managing Banking Risks: Reducing Uncertainty to Improve Bank Performance. – М.: , 0. – 0 с.
  6. John Calverley, John Calverley. The Investor's Guide to Market Fundamentals. – М.: , 0. – 0 с.
  7. Global Portfolio Diversification : Risk Management, Market Microstructure, and Implementation Issues. – М.: , 0. – 0 с.
  8. Cheng F. Lee. Advances in Financial Planning and Forecasting Volume 10. – М.: , 0. – 0 с.
  9. Benton E. Gup. The Bank Director's Handbook: The Board Member's Guide to Banking & Bank Management. – М.: Irwin Professional Publishing, 1996. – 364 с.
  10. Jo Ann Hankin, Alan G. Seidner, John T. Zietlow. Financial Management for Nonprofit Organizations (Wiley Nonprofit Law, Finance and Management Series). – М.: , 0. – 0 с.
  11. John Y. Campbell, Andrew W. Lo, A. Craig MacKinlay. The Econometrics of Financial Markets. – М.: Princeton University Press, 0. – 632 с.
  12. Frank J. Fabozzi. Bond Portfolio Management, 2nd Edition. – М.: , 0. – 0 с.
  13. Frank J. Fabozzi. Duration, Convexity, and Other Bond Risk Measures. – М.: Wiley, 1999. – 258 с.
  14. Keith Cuthbertson, Dirk Nitzsche. Financial Engineering: Derivatives and Risk Management. – М.: , 0. – 0 с.
  15. Paul Wilmott, Henrik Rasmussen, Paul Wilmott. New Directions in Mathematical Finance. – М.: , 0. – 0 с.
  16. Charles S. Tapiero. Applied Stochastic Models and Control for Finance and Insurance. – М.: , 0. – 0 с.
  17. Simona Svoboda. Interest Rate Modelling (Finance and Capital Markets Series). – М.: , 0. – 0 с.
  18. Carol Alexander. Risk Management and Analysis, New Markets and Products (Wiley Series in Financial Engineering). – М.: , 0. – 0 с.
  19. Christian L. Dunis. Forecasting Financial Markets : Exchange Rates, Interest Rates and Asset Management (Financial Economics and Quantitative Analysis Series). – М.: , 0. – 0 с.
  20. David F. Babbel, Frank J. Fabozzi. Investment Management for Insurers (Frank J. Fabozzi Series). – М.: Wiley, 1999. – 570 с.
  21. Frank J. Fabozzi. Advances in Fixed Income Valuation Modeling and Risk Management (Frank J. Fabozzi Series). – М.: , 0. – 0 с.
  22. Susan Karp. Smart Guide to Profiting from Mutual Funds. – М.: , 0. – 0 с.
  23. M. Anthony Wong. Trading and Investing in Bond Options: Risk Management, Arbitrage, and Value Investing. – М.: , 0. – 0 с.
  24. Wayne D. Purcell, Stephen R. Koontz. Agricultural Futures and Options: Principles and Strategies (2nd Edition). – М.: , 0. – 0 с.
  25. Angelo Arvanitis, Jon Gregory. Credit: The Complete Guide to Pricing, Hedging and Risk Management. – М.: , 0. – 0 с.
  26. Frank Skinner. Pricing and Hedging Interest and Credit Risk Sensitive Instruments. – М.: , 2004. – 0 с.
  27. Moorad Choudhry. Bond and Money Markets : Strategy, Trading, Analysis. – М.: , 2003. – 0 с.
  28. Karen A. Horcher. Essentials of Financial Risk Management (Essentials Series). – М.: , 2005. – 0 с.
  29. Shani Shamah. A Currency Options Primer. – М.: , 2004. – 0 с.
  30. Townsend Walker. Managing Lease Portfolios : How to Increase Return and Control Risk. – М.: , 2005. – 0 с.
  31. 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.
  32. Timothy W. Koch, S. Scott MacDonald. Bank Management. – М.: South-Western College Pub, 2005. – 576 с.
  33. 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.
  34. Scott Besley, Eugene F. Brigham. Essentials of Managerial Finance. – М.: , 2007. – 0 с.
  35. Hidden Markov Models in Finance (International Series in Operations Research & Management Science). – М.: , 2007. – 184 с.
  36. Charles Tapiero. Risk and Financial Management: Mathematical and Computational Methods. – М.: , 2004. – 358 с.
  37. Bruce Chapman. Government Managing Risk: Income Contingent Loans for Social and Economic Progress (Routledge Studies in Business Organizations & Networks). – М.: , 2006. – 256 с.
  38. R. Stafford Johnson. Introduction to Derivatives: Options, Futures, and Swaps. – М.: , 2008. – 816 с.
  39. Tze Leung Lai, Haipeng Xing. Statistical Models and Methods for Financial Markets (Springer Texts in Statistics). – М.: , 2008. – 354 с.
  40. Lars Oxelheim, Clas Wihloborg. Corporate Decision-Making with Macroeconomic Uncertainty: Performance and Risk Management. – М.: , 2008. – 256 с.
  41. Jonathan Berk, Peter DeMarzo, Jarrad Harford. Fundamentals of Corporate Finance plus MyFinanceLab Student Access Kit (MyFinanceLab Series). – М.: , 2008. – 822 с.
  42. Malcolm S. Salter. Innovation Corrupted: The Origins and Legacy of Enron's Collapse. – М.: , 2008. – 544 с.
  43. Jacques Janssen, Raimondo Manca, Ernesto Volpe. Mathematical Finance: Stochastic Models. – М.: , 2008. – 352 с.
  44. Tena B. Crews. Fundamentals of Insurance. – М.: , 2009. – 0 с.
  45. Mr Geoff Chaplin, Jim Aspinwall, Mark Venn. Life Settlements and Longevity Structures: Pricing and Risk Management (Wiley Finance). – М.: , 2009. – 274 с.
  46. Charles Priester, Jincheng Wang. Financial Strategies for the Manager (Tsinghua University Texts). – М.: , 2010. – 210 с.
  47. Mike Goldberg, Eric Palladini. Managing Risk and Creating Value With Microfinance. – М.: , 2010. – 136 с.
  48. Christine Helliar. Interest Rate Risk Management. – М.: CIMA Publishing, 2005. – 112 с.
  49. Susan Karp. Smart GuideTM to Profiting from Mutual Funds. – М.: , 1998. – 174 с.
  50. Chan S. Park. Contemporary Engineering Economics (5th Edition). – М.: , 2010. – 960 с.
  51. Gary Klopfenstein. Trading Currency Cross Rates. – М.: , 1993. – 176 с.
  52. Sanjay K. Nawalkha. Interest Rate Risk Modeling. – М.: , 2005. – 396 с.
  53. Steven M. Bragg. The New CFO Financial Leadership Manual. – М.: John Wiley and Sons, Ltd, 2011. – 504 с.
  54. Perspectives on Interest Rate Risk Management for Money Managers and Traders. – М.: , 1998. – 272 с.
  55. Huu Tue Huynh, Van Son Lai, Issouf Soumare. Stochastic Simulation and Applications in Finance with MATLAB Programs. – М.: Wiley, 2008. – 356 с.
  56. Wokadala James. Effects of Exchange Rate Volatility on Trade Balance of Uganda. – М.: LAP Lambert Academic Publishing, 2011. – 84 с.
  57. Stan Maes. Modeling the Term Structure of Interest Rates Across Countries. – М.: LAP Lambert Academic Publishing, 2009. – 264 с.
  58. Jaskaran Singh Dhillon and Ramita Verma. Asset - Liability Management in Banking Sector. – М.: LAP Lambert Academic Publishing, 2012. – 244 с.
  59. Pinki Insan and D. P. Warne. DPS EPS Analysis. – М.: Scholars' Press, 2014. – 100 с.
  60. Harpreet Kaur Kohli and Arvinder Singh Chawla. Asset Liability Management in Banks. – М.: LAP Lambert Academic Publishing, 2013. – 356 с.
  61. K. Samsudheen and G. Shanmugasundaram. Foreign exchange rate exposure and its management. – М.: LAP Lambert Academic Publishing, 2013. – 120 с.
  62. Mthuli Ncube and . Sambulo Malumisa. Jump Diffusion and Stochastic Volatility Models in Securities Pricing. – М.: LAP Lambert Academic Publishing, 2012. – 124 с.
  63. Andrey Gurov. Risk Management Sophistication and Bank Profitability. – М.: LAP Lambert Academic Publishing, 2014. – 88 с.
  64. James Odongo and Samuel Odeke. Interest rate risk exposure&Fin.Performance of commercial banks-Uganda. – М.: LAP Lambert Academic Publishing, 2014. – 52 с.
  65. Luminita Ion and Laurentiu Fratila. Risk - Important part of banking management. – М.: LAP Lambert Academic Publishing, 2013. – 60 с.
  66. 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. Alka Swami. Agricultural Risk Management in Bikaner District of Rajasthan: Risk Mitigation Techniques for the Farmers of Desert Areas. – М.: , 2012. – 256 с.
  3. Lionel Martellini, Philippe Priaulet, StA©phane Priaulet. Fixed-Income Securities : Valuation, Risk Management and Portfolio Strategies (The Wiley Finance Series). – М.: , 0. – 0 с.
  4. Thomas L. Barton, William G. Shenkir, Paul L. Walker. Making Enterprise Risk Management Pay Off: How Leading Companies Implement Risk Management. – М.: FT Press, 2002. – 272 с.
  5. Christopher L. Culp, Christopher L. Culp. The ART of Risk Management. – М.: , 0. – 0 с.
  6. Erik Banks, Richard Dunn, Erik Banks, Richard Dunn. Practical Risk Management. – М.: , 0. – 0 с.
  7. John J. Stephens. Managing Interest Rate Risk : Using Financial Derivatives (Institute of Internal Auditors Risk Management Series). – М.: , 0. – 0 с.
  8. Bennett W. Golub, Leo M. Tilman, Bennett W. Golub, Leo M. Tilman. Risk Management: Approaches for Fixed Income Markets. – М.: , 0. – 0 с.
  9. Carol Alexander. Risk Management and Analysis, Measuring and Modelling Financial Risk (Wiley Series in Financial Engineering). – М.: , 0. – 0 с.
  10. David A. Dubofsky, Thomas W. Miller. Derivatives: Valuation and Risk Management. – М.: , 0. – 0 с.
  11. Eddie Cade. Managing Banking Risks: Reducing Uncertainty to Improve Bank Performance. – М.: , 0. – 0 с.
  12. 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.
  13. Frank J. Fabozzi. Measuring and Controlling Interest Rate Risk (Frank J. Fabozzi Series). – М.: , 0. – 0 с.
  14. Marilyn Greenstein, Todd M. Feinman. Electronic Commerce: Security Risk Management and Control. – М.: , 0. – 0 с.
  15. The Professional Handbook of Financial Risk Management. – М.: , 0. – 0 с.
  16. 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.
  17. Loice Koskei. A Survey of Credit Risk Management Techniques:: The Case of Micro- Finance Institutions in Kenya. – М.: , 2012. – 88 с.
  18. Jose A. Soler Ramos, Kim B. Staking, Alfonso Ayuso Calle, Paulina Beato, Emilio Botin O'Shea, Miguel Escrig Melia, Bernardo Falero Carrasco, Jose A. Soler Ramos, Inter-American Development Bank, Grupo Santander. Financial Risk Management: A Practical Approach for Emerging Markets. – М.: , 0. – 0 с.
  19. Joanne Linnerooth-Bayer, Ragnar E. Lofstedt, Gunnar Sjostedt. Transboundary Risk Management. – М.: , 0. – 0 с.
  20. Damiano Brigo, Fabio Mercurio. Interest Rate Models - Theory and Practice: With Smile, Inflation and Credit (Springer Finance). – М.: Springer, 2006. – 982 с.
  21. Stephen Figlewski, Richard M. Levich. Risk Management: The State of the Art. – М.: , 0. – 0 с.
  22. Global Portfolio Diversification : Risk Management, Market Microstructure, and Implementation Issues. – М.: , 0. – 0 с.
  23. Risk Management, Speculation, and Derivative Securities. – М.: , 0. – 0 с.
  24. Louis-Philippe Rochon, Matias Vernengo. Credit, Interest Rates and the Open Economy: Essays on Horizontalism. – М.: , 0. – 0 с.
  25. James T. Turner, Michael G. Gelles. Threat Assessment: A Risk Management Approach. – М.: Routledge, 2003. – 212 с.
  26. Francis Achampong. Workplace Sexual Harassment Law : Principles, Landmark Developments, and Framework for Effective Risk Management. – М.: , 0. – 0 с.
  27. Reto Gallati. Risk Management and Capital Adequacy. – М.: McGraw-Hill, 2003. – 550 с.
  28. Preston G. Smith, Guy M. Merritt. Proactive Risk Management : Controlling Uncertainty in Product Development. – М.: , 0. – 0 с.
  29. Risk Management: 10 Principles. – М.: , 0. – 0 с.
  30. Emmett J. Vaughan. Risk Management. – М.: , 0. – 0 с.
  31. 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.
  32. Ghassem A. Homaifar. Managing Global Financial and Foreign Exchange Rate Risk. – М.: , 0. – 0 с.
  33. Meher Manzur. Exchange Rates, Interest Rates and Commodity Prices. – М.: , 0. – 0 с.
  34. Jonathan D. Kipp, Murrey E. Loflin. Emergency Incident Risk Management : A Safety & Health Perspective (Industrial Health & Safety). – М.: , 0. – 0 с.
  35. 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.
  36. 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.
  37. Benton E. Gup. The Bank Director's Handbook: The Board Member's Guide to Banking & Bank Management. – М.: Irwin Professional Publishing, 1996. – 364 с.
  38. Gary Shoup. Currency Risk Management: A Handbook for Financial Managers, Brokers, and Their Consultants. – М.: , 0. – 0 с.
  39. E. H. Conrow, Edmund H. Conrow. Effective Risk Management: Some Keys to Success. – М.: , 0. – 0 с.
  40. Gary L. Gastineau, Mark P. Kritzman. Dictionary of Financial Risk Management, Third Edition. – М.: , 0. – 0 с.
  41. Eve Coles, Denis Smith, Steve Tombs. Risk Management and Society (Advances in Natural and Technological Hazards Research, Volume 16). – М.: , 0. – 0 с.
  42. 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.
  43. Mary Hardy, Mary Hardy. Investment Guarantees: The New Science of Modeling and Risk Management for Equity-Linked Life Insurance. – М.: , 0. – 0 с.
  44. Andrew J. G. Cairns. Interest Rate Models: An Introduction. – М.: Princeton University Press, 2004. – 288 с.
  45. Frank J. Fabozzi. Bond Portfolio Management, 2nd Edition. – М.: , 0. – 0 с.
  46. Frank J. Fabozzi. Duration, Convexity, and Other Bond Risk Measures. – М.: Wiley, 1999. – 258 с.
  47. Martin Gorrod. Risk Management Systems: Process, Technology and Trends (Finance and Capital Markets Series). – М.: , 0. – 0 с.
  48. Mary S. Ludwig. Understanding Interest Rate Swaps. – М.: , 0. – 0 с.
  49. Keith Cuthbertson, Dirk Nitzsche. Financial Engineering: Derivatives and Risk Management. – М.: , 0. – 0 с.
  50. Erik Banks. The Simple Rules of Risk : Revisiting the Art of Financial Risk Management (The Wiley Finance Series). – М.: , 2003. – 0 с.
  51. Ron S. Dembo, Andrew Freeman, Andrew Freeman. The Rules of Risk: An Investor's Guide. – М.: , 0. – 0 с.
  52. Simona Svoboda. Interest Rate Modelling (Finance and Capital Markets Series). – М.: , 0. – 0 с.
  53. Carol Alexander. Risk Management and Analysis, New Markets and Products (Wiley Series in Financial Engineering). – М.: , 0. – 0 с.
  54. Brian Coyle. Currency Futures (Glenlake Series in Currency Risk Management). – М.: , 0. – 0 с.
  55. Satyajit Das. Swaps and Financial Derivatives : Products, Pricing, Applications and Risk Management (Wiley Finance). – М.: , 0. – 0 с.
  56. David F. Babbel, Frank J. Fabozzi. Investment Management for Insurers (Frank J. Fabozzi Series). – М.: Wiley, 1999. – 570 с.
  57. Kevin Dowd. Beyond Value at Risk: The New Science of Risk Management. – М.: John Wiley and Sons, Ltd, 2003. – 276 с.
  58. Frank J. Fabozzi. Advances in Fixed Income Valuation Modeling and Risk Management (Frank J. Fabozzi Series). – М.: , 0. – 0 с.
  59. Susan M. Mangiero. Risk Management for Pensions, Endowments and Foundations (Frank J. Fabozzi Series). – М.: , 0. – 0 с.
  60. Susan Karp. Smart Guide to Profiting from Mutual Funds. – М.: , 0. – 0 с.
  61. M. Anthony Wong. Trading and Investing in Bond Options: Risk Management, Arbitrage, and Value Investing. – М.: , 0. – 0 с.
  62. Richard Horwitz. Hedge Fund Risk Fundamentals: Solving the Risk Management and Transparency Challenge. – М.: , 0. – 0 с.
  63. Giampiero E. G. Beroggi, William A. Wallace. Operational Risk Management: The Integration of Decision, Communications, and Multimedia Technologies. – М.: , 0. – 0 с.
  64. Angelo Arvanitis, Jon Gregory. Credit: The Complete Guide to Pricing, Hedging and Risk Management. – М.: , 0. – 0 с.
  65. William J. Palmer, James M. Maloney, John L. Heffron. Construction Insurance, Bonding, and Risk Management. – М.: McGraw-Hill Professional Publishing, 1996. – 384 с.
  66. Jack L. Mumme. Risk Management for Dentists. – М.: , 0. – 0 с.
  67. Lars Jaeger. The New Generation of Risk Management for Hedge Funds and Private Equity Investments. – М.: Euromoney Institutional Investor PLC, 2004. – 462 с.
  68. From Disaster Response to Risk Management : Australia's National Drought Policy (Advances in Natural and Technological Hazards Research). – М.: , 2005. – 0 с.
  69. Moorad Choudhry. Bond and Money Markets : Strategy, Trading, Analysis. – М.: , 2003. – 0 с.
  70. L. Gajek. Financial Risk Management for Pension Plans. – М.: , 2005. – 0 с.
  71. World Bank. Household Risk Management And Social Protection In Chile (World Bank Country Study). – М.: , 2004. – 0 с.
  72. Karen A. Horcher. Essentials of Financial Risk Management (Essentials Series). – М.: , 2005. – 0 с.
  73. Tony Merna. Corporate Risk Management : An Organisational Perspective. – М.: , 2005. – 0 с.
  74. Louis Esch. Asset & Risk Management. – М.: , 2005. – 0 с.
  75. Mikkel Rasmussen. Quantitative Portfolio Optimisation, Asset Allocation and Risk Management (Finance and Capital Markets). – М.: , 2003. – 0 с.
  76. Gary C. Guthrie. Mathematics of Interest Rates and Finance. – М.: , 2003. – 0 с.
  77. Timothy W. Koch, S. Scott MacDonald. Bank Management. – М.: South-Western College Pub, 2005. – 576 с.
  78. Don M. Chance. An Introduction to Derivatives and Risk Management. – М.: , 2003. – 0 с.
  79. Claudio Albanese. Advanced Derivatives Pricing and Risk Management: Theory, Tools, and Hands-On Programming Applications (Academic Press Advanced Finance Series) (Academic Press Advanced Finance Series). – М.: , 2005. – 0 с.
  80. Alexander J. McNeil. Quantitative Risk Management : Concepts, Techniques, and Tools (Princeton Series in Finance). – М.: , 2005. – 0 с.
  81. 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.
  82. K. H. Spencer Pickett. Auditing for Managers : The Ultimate Risk Management Tool. – М.: , 2005. – 0 с.
  83. K. H. Spencer Pickett. Auditing the Risk Management Process. – М.: , 2005. – 0 с.
  84. David Mortimer. Quality and Risk Management in the IVF Laboratory. – М.: , 2004. – 0 с.
  85. Simon Vine. Options : Trading Strategy and Risk Management (Wiley Finance). – М.: , 2005. – 0 с.
  86. Patrick Cusatis. Hedging Instruments and Risk Management. – М.: , 2005. – 0 с.
  87. Peter Christoffersen. Elements of Financial Risk Management. – М.: , 2003. – 0 с.
  88. H. Gifford Fong. The World of Risk Management. – М.: World Scientific Publishing Company, 2005. – 232 с.
  89. Bruce Porteous, Pradip Tapadar. Economic Capital and Financial Risk Management for Financial Services Firms and Conglomerates (Finance and Capital Markets). – М.: , 2005. – 300 с.
  90. George E. Rejda. Principles of Risk Management and Insurance. – М.: Addison Wesley, 2007. – 474 с.
  91. Wilhelm Kross. Organized Opportunities: Risk Management in Financial Services Operations. – М.: Wiley-VCH, 2007. – 256 с.
  92. Satyajit Das. Structured Products Volume 1: Exotic Options; Interest Rates & Currency (The Swaps & Financial Derivatives Library) (Wiley Finance). – М.: Wiley, 2005. – 1200 с.
  93. Dale F. Cooper, Stephen Grey, Geoffrey Raymond, Phil Walker. Project Risk Management Guidelines: Managing Risk in Large Projects and Complex Procurements. – М.: , 2004. – 400 с.
  94. Martin Robinson, Simon Cook. Clinical Trials Risk Management. – М.: , 2005. – 232 с.
  95. Nigel Da Costa Lewis. Energy Risk Modelling: Applied Modelling Methods for Risk Managers (Finance and Capital Markets). – М.: , 2005. – 250 с.
  96. Risk Management, Volume 1: A Modern Perspective. – М.: , 2005. – 768 с.
  97. JOHN C HULL. Risk Management and Financial Institutions. – М.: , 2006. – 528 с.
  98. K. H. Spencer Pickett. Enterprise Risk Management: A Manager's Journey. – М.: , 2006. – 320 с.
  99. Charles A. Fishkin. The Shape of Risk: A New Look at Risk Management (Finance and Capital Markets). – М.: , 2005. – 432 с.
  100. Professional Risk Manager's International Association (PRMIA). The Professional Risk Managers' Guide to Financial Theory and Application (Primia Risk Management). – М.: , 2007. – 400 с.
  101. Professional Risk Manager's International Association (PRMIA). The Professional Risk Managers' Guide to Financial Markets (Prmia Risk Management Series). – М.: , 2007. – 400 с.
  102. Professional Risk Manager's International Association (PRMIA). The Professional Risk Manager's Guide to Financial Instruments (Prmia Risk Management Series). – М.: , 2007. – 400 с.
  103. Professional Risk Manager's International Association (PRMIA). The Professional Risk Managers' Guide to the Energy Market (Prmia Risk Management Series). – М.: , 2007. – 400 с.
  104. Lars Oxelheim, Clas Wihloborg. Corporate Decision-Making with Macroeconomic Uncertainty: Performance and Risk Management. – М.: , 2008. – 256 с.
  105. Rafael De Santiago. Derivatives Markets with Stochastic Volatility: Interest-Rate Derivatives and Value-at-Risk. – М.: , 2008. – 180 с.
  106. Adrian Busch. When Prudence is Reckless: Rethinking the Role of Project Risk Management. – М.: , 2008. – 52 с.
  107. Mohan Bhatia. Credit Risk Management and Basel II. – М.: Risk Books, 2006. – 450 с.
  108. Mr Geoff Chaplin, Jim Aspinwall, Mark Venn. Life Settlements and Longevity Structures: Pricing and Risk Management (Wiley Finance). – М.: , 2009. – 274 с.
  109. Robert W. Kolb, Donald Schwartz. Corporate Boards: Managers of Risk, Sources of Risk (Loyola University Series on Risk Management). – М.: , 2009. – 400 с.
  110. Charles Priester, Jincheng Wang. Financial Strategies for the Manager (Tsinghua University Texts). – М.: , 2010. – 210 с.
  111. Christine Helliar. Interest Rate Risk Management. – М.: CIMA Publishing, 2005. – 112 с.
  112. Managing Global Financial and Foreign Exchange Rate Risk. – М.: , 2004. – 400 с.
  113. Sanjay K. Nawalkha. Interest Rate Risk Modeling. – М.: , 2005. – 396 с.
  114. Amir Sadr. Interest Rate Swaps and Their Derivatives. – М.: , 2009. – 248 с.
  115. Perspectives on Interest Rate Risk Management for Money Managers and Traders. – М.: , 1998. – 272 с.
  116. Jubril Olukayode Lasisi. Structure and impact of interest rate on Nigeria Economy (1970-2002). – М.: LAP Lambert Academic Publishing, 2012. – 76 с.
  117. P.A. Naidu. Risk Management Through VaR Models. – М.: LAP Lambert Academic Publishing, 2013. – 180 с.
  118. Zbynek Stork. Term Structure of Interest Rates. – М.: LAP Lambert Academic Publishing, 2014. – 124 с.
  119. Niyati Bhanja. Exchange Rate Risk and Labour Intensive Export Demand. – М.: LAP Lambert Academic Publishing, 2013. – 84 с.
  120. Kheswar Chandan Jankee. Interest rate policies and economic management in emerging economies. – М.: LAP Lambert Academic Publishing, 2013. – 336 с.
  121. Stan Maes. Modeling the Term Structure of Interest Rates Across Countries. – М.: LAP Lambert Academic Publishing, 2009. – 264 с.
  122. Ramon Leo Gavan. Enterprise Risk Management Practice. – М.: Scholars' Press, 2012. – 264 с.
  123. Nadia Jaweed and Zahid Mahmood. An Appraisal of Enterprise Risk Management. – М.: LAP Lambert Academic Publishing, 2013. – 196 с.
  124. Jaskaran Singh Dhillon and Ramita Verma. Asset - Liability Management in Banking Sector. – М.: LAP Lambert Academic Publishing, 2012. – 244 с.
  125. Franc Etu-Menson. Operational Risk Management in the Banking Industry of Ghana. – М.: LAP Lambert Academic Publishing, 2014. – 60 с.
  126. Leonard Langat,Bernard K. Rop and Bellah Chepkulei. Effect of Interest Rates Spread on Performance. – М.: LAP Lambert Academic Publishing, 2013. – 84 с.
  127. Elizabeth Kalunda,Beatrice Nduku and John Kabiru. Credit Risk Management Practices. – М.: LAP Lambert Academic Publishing, 2011. – 72 с.
  128. Srinivas Gumparthi. Credit Risk Management. – М.: LAP Lambert Academic Publishing, 2012. – 204 с.
  129. Harpreet Kaur Kohli and Arvinder Singh Chawla. Asset Liability Management in Banks. – М.: LAP Lambert Academic Publishing, 2013. – 356 с.
  130. Ayse Kucuk Yilmaz. REPUTATION RISK MANAGEMENT AND CORPORATE SUSTAINABILITY. – М.: LAP Lambert Academic Publishing, 2010. – 624 с.
  131. JOHN CHIBAYA MBUYA PhD. ADVANCED CREDIT RISK MANAGEMENT IN THE BANKING INDUSTRY. – М.: LAP Lambert Academic Publishing, 2010. – 300 с.
  132. Jesus Perez Colino. Dynamic Interest-Rate Modelling in Incomplete Markets. – М.: LAP Lambert Academic Publishing, 2012. – 168 с.
  133. Viacheslav Kulish. Credit Risk Management. – М.: LAP Lambert Academic Publishing, 2014. – 108 с.
  134. Faith Kandie. A handbook on the determinants of interest rates in Kenya. – М.: LAP Lambert Academic Publishing, 2014. – 88 с.
  135. Andrey Gurov. Risk Management Sophistication and Bank Profitability. – М.: LAP Lambert Academic Publishing, 2014. – 88 с.
  136. James Odongo and Samuel Odeke. Interest rate risk exposure&Fin.Performance of commercial banks-Uganda. – М.: LAP Lambert Academic Publishing, 2014. – 52 с.
  137. Luminita Ion and Laurentiu Fratila. Risk - Important part of banking management. – М.: LAP Lambert Academic Publishing, 2013. – 60 с.
  138. Najaf Gharachourlou Aghjelou. Risk analysis and Risk management in Banks. – М.: LAP Lambert Academic Publishing, 2012. – 232 с.
  139. Owais Shafique. Risk Management Practices of IFIs Vs. CFIs in Pakistan. – М.: LAP Lambert Academic Publishing, 2012. – 68 с.
  140. Parixit Mehta. Forex and Interest Rate Risk Management. – М.: LAP Lambert Academic Publishing, 2011. – 76 с.

Лучшие результаты

Ничего не найдено

Дополнительные результаты

  1. Обзор конференций. Начало торгов фьючерсами на процентные ставки MosIBOR и MosPrime Rate. Н. Бутузова, "Международные банковские операции", № 3, май-июнь 2006.
  2. Индекс MosPrime Rate - за и против. Д. Назаркин, "Банковское дело в Москве", № 12, декабрь 2005.
  3. BUSINESS PROCESS MANAGEMENT: система для руководителя. А. Крючкова, "Финансовая газета. Региональный выпуск", № 24, июнь 2005.
  4. Построение системы мотивации по технологии BUSINESS UNIT MANAGEMENT. В. Лунин, "Финансовая газета. Региональный выпуск", № 16, апрель 2005.
  5. Business performance management: источники эффективности. О. Духонина, П. Горянский, "Финансовая газета. Региональный выпуск", № 20, май 2004.
  6. Health management: совершенствуем здоровый образ работы. С. Царенко, "Кадровик.ру", N 5, май 2012 г.
  7. 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.
  8. Lifestyle management и консьерж-сервис. А.И. Гусев, "Банковский ритейл", N 1, I квартал 2012 г.
  9. Ошибки при формировании и развитии бизнеса private banking & wealth management. А.В. Александров, "Банковский ритейл", N 1, I квартал 2012 г.
  10. Risk-based pricing: посткризисные тенденции. А.В. Гидулян, "Банковское кредитование", N 1, январь-февраль 2012 г.
  11. Business Intelligence и Business Performance Management: основные термины и концепции. Ю.В. Амириди, "Управление в кредитной организации", N 5, сентябрь-октябрь 2011 г.
  12. Взаимодействие блока private banking & wealth management с розничным бизнесом. А.В. Александров, "Банковский ритейл", N 3, III квартал 2011 г.
  13. Сегментация клиентов в бизнесе private banking & wealth management. Н.В.  Чумак, "Банковский ритейл", N 1, I квартал 2011 г.
  14. Мотивируйте людей на работу, а не на преданность. интервью с Д.  Кленовым, партнером UFG Wealth Management. "Управление персоналом", N 14, июль 2010 г.
  15. Business performance management: современный взгляд. Д. Исаев, "Финансовая газета", № 10, 11, март 2009.
  16. Кто вы, CHIEF RISK OFFICER. М. Уилкинсон, "Риск-менеджмент", № 9-10, сентябрь-октябрь 2008.
  17. Директора заблудились между governance и management. А. Верников, "Банковское обозрение", № 8, август 2008.
  18. 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
Антикризисное финансовое управление.
Антикризисное управление
Диплом
87 стр.
Антикризисные мероприятия в торговой фирме
Антикризисное управление
Диплом
161 стр.
Разработка антикризисной программы предприятия "Санаторий профилакторий"
Антикризисное управление
Диплом
148 стр.
Коммерческие банки как субъект кредитного рынка, их операции и сделки
Банковский менеджмент
Диплом
87 стр.

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Ирина, 04.06
Марина, здравствуйте! Мы защитились!!!! На 5!!! СПАСИБО БОЛЬШОЕ!!!!!!!! От меня и от Жени.