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  1. Kenneth Lawrence. Applications of Management Science, Volume 15. – М.: , 2012. – 313 с.
  2. Paul Darbyshire, David Hampton. Hedge Fund Modeling and Analysis Using Excel and VBA (The Wiley Finance Series). – М.: , 2012. – 278 с.
  3. Sam Henderson. SMSF DIY Guide: Everything you need to successfully set up and run your own Self Managed Superannuation Fund. – М.: , 2012. – 272 с.
  4. Lionel Martellini, Philippe Priaulet, StA©phane Priaulet. Fixed-Income Securities : Valuation, Risk Management and Portfolio Strategies (The Wiley Finance Series). – М.: , 0. – 0 с.
  5. Kirill Ilinski. Physics of Finance: Gauge Modelling in Non-Equilibrium Pricing. – М.: John Wiley and Sons, Ltd, 2001. – 340 с.
  6. Martin J. Whitman. Value Investing: A Balanced Approach. – М.: Wiley, 2000. – 288 с.
  7. Morton Glantz. Managing Bank Risk: An Introduction to Broad-Base Credit Engineering (+ CD-ROM). – М.: Academic Press, 0. – 600 с.
  8. Edward Winslow. Blind Faith: Our Misplaced Trust in the Stock Market and Smarter, Safer Ways to Invest. – М.: , 0. – 0 с.
  9. Ross Levin. The Wealth Management Index: The Financial Advisor's System for Assessing & Managing Your Client's Plans & Goals. – М.: , 0. – 0 с.
  10. Heinz Zimmermann, Wolfgang Drobetz, Peter Oertmann. Global Asset Allocation : New Methods and Applications (Wiley Finance). – М.: , 0. – 0 с.
  11. Forecasting Volatility in the Financial Markets (Quantitative Finance Series). – М.: , 0. – 0 с.
  12. Daniel Ben-Ami, Daniel Ben-Ami. Cowardly Capitalism: The Myth of The Global Financial Casino. – М.: , 0. – 0 с.
  13. Jae K. Shim, Joel Siegel. Financial Management for Nonprofits: The Complete Guide to Maximizing Resources and Managing Assets. – М.: , 0. – 0 с.
  14. Graeme Wheeler, Frederick Jensen. Sound Practice in Government Debt Management. – М.: , 0. – 0 с.
  15. Jerry Tweddell, Jack Pierce, Jerry Tweddell. J K Lasser's Pick Winning Mutual Funds. – М.: , 0. – 0 с.
  16. George Macesich. Issues in Money and Banking. – М.: , 0. – 0 с.
  17. Andrew H. Chen. Research in Finance, Volume 19. – М.: , 0. – 0 с.
  18. Stephen Figlewski, Richard M. Levich. Risk Management: The State of the Art. – М.: , 0. – 0 с.
  19. Gary Klopfenstein. Fx: Managing Global Currency Risk : The Definitive Handbook for Corporations and Financial Insitutions (Glenlake Business Monographs). – М.: , 0. – 0 с.
  20. Martin Posner. Successful Credit Control. – М.: , 0. – 0 с.
  21. The Portable MBA in Investment. – М.: John Wiley and Sons, Ltd, 1995. – 452 с.
  22. Thomas D. Schneid, Larry Collins. Disaster Management and Preparedness. – М.: , 0. – 0 с.
  23. Richard Herring. Managing International Risk. – М.: Cambridge University Press, 1986. – 288 с.
  24. 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.
  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. David F. Scott, John D. Martin, J. William Petty, Arthur J. Keown, John G. Thatcher. Cases in Finance (3rd Edition). – М.: , 0. – 0 с.
  27. Christian L. Dunis. Advances in Quantitative Asset Management. – 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. John Y. Campbell, Andrew W. Lo, A. Craig MacKinlay. The Econometrics of Financial Markets. – М.: Princeton University Press, 0. – 632 с.
  30. Richard C. Grinold, Ronald N. Kahn. Active Portfolio Management: A Quantitative Approach for Producing Superior Returns and Selecting Superior Returns and Controlling Risk. – М.: McGraw-Hill, 1999. – 596 с.
  31. Mark P. Kritzman, Mark P. Kritzman. The Portable Financial Analyst: What Practioners Need to Know, 2nd Edition. – М.: , 0. – 0 с.
  32. David F. DeRosa. Options on Foreign Exchange (Wiley Series in Financial Engineering). – М.: , 0. – 0 с.
  33. Christopher L. Culp. Risk Transfer: Derivatives in Theory and Practice. – М.: John Wiley and Sons, Ltd, 2004. – 448 с.
  34. Gabriel Burstein. Macro Trading & Investment Strategies : Macroeconomic Arbitrage in Global Markets (Wiley Trading Advantage Series). – М.: , 0. – 0 с.
  35. Robert F. Bruner. Applied Mergers and Acquisitions Workbook (Wiley Finance). – М.: Wiley, 2004. – 364 с.
  36. Christian L. Dunis. Forecasting Financial Markets : Exchange Rates, Interest Rates and Asset Management (Financial Economics and Quantitative Analysis Series). – М.: , 0. – 0 с.
  37. C. Mark Tang. The Essential Biotech Investment Guide: How to Invest in the Healthcare Biotechnology & Life Sciences Sector. – М.: , 0. – 0 с.
  38. Jamie Rogers. Strategy, Value and Risk-The Real Options Approach. – М.: Palgrave Macmillan, 2002. – 250 с.
  39. Risk Analysis and the Security Survey. – М.: , 0. – 0 с.
  40. Robert C. Blattberg, Gary Getz, Jacquelyn S. Thomas. Customer Equity: Building and Managing Relationships As Valuable Assets. – М.: Harvard Business School Press, 2001. – 228 с.
  41. John Knight. Linear Factor Models in Finance (Quantitative Finance Series). – М.: , 2005. – 0 с.
  42. L. Gajek. Financial Risk Management for Pension Plans. – М.: , 2005. – 0 с.
  43. Kyriaki Kosmidou. Goal Programming Techniques for Bank Asset Liability Management (Applied Optimization). – М.: , 2004. – 0 с.
  44. Erik Banks. Liquidity Risk : Managing Asset and Funding Risks (Finance and Capital Markets). – М.: , 2005. – 0 с.
  45. Louis Esch. Asset & Risk Management. – М.: , 2005. – 0 с.
  46. Bernd Scherer. Introduction to Modern Portfolio Optimization with NuOPT, S-PLUS and S+Bayes. – М.: , 2005. – 0 с.
  47. Timothy W. Koch, S. Scott MacDonald. Bank Management. – М.: South-Western College Pub, 2005. – 576 с.
  48. Robert J. Williams. Investing in Information Technology Stocks : Essential elements for the successful investor. – М.: , 2003. – 0 с.
  49. Anthony Saunders. Financial Institutions Management+Standard & Poor's+Ethics in Finance Powerweb (Irwin Mcgraw Hill Series in Finance, Insurance and Real Estate). – М.: , 2005. – 0 с.
  50. Herbert B. Mayo. Basic Investments (with Thomson ONE - Business School Edition) (Series in Finance). – М.: , 2005. – 0 с.
  51. Peter Christoffersen. Elements of Financial Risk Management. – М.: , 2003. – 0 с.
  52. Mark Van Mourick. Cash Out, Cash In: The After-Success Investment Guide--Valuable Leading Investment Advisor to the Ultra-Wealthy. – М.: , 2003. – 0 с.
  53. Bruce Porteous, Pradip Tapadar. Economic Capital and Financial Risk Management for Financial Services Firms and Conglomerates (Finance and Capital Markets). – М.: , 2005. – 300 с.
  54. Arthur Mazer. Electric Power Planning for Regulated and Deregulated Markets. – М.: , 2007. – 313 с.
  55. David Riedel. Finding the Hot Spots: 10 Strategies for Global Investing. – М.: , 2006. – 224 с.
  56. Joseph G Nicholas. Investing in Hedge Funds, Revised and Updated Edition. – М.: , 2005. – 320 с.
  57. Greg N. Gregoriou, Joe Zhu. Evaluating Hedge Fund and CTA Performance: Data Envelopment Analysis Approach + CD-ROM. – М.: , 2005. – 167 с.
  58. Jeffrey Kleintop. Market Evolution: How to Profit in Today's Changing Financial Markets. – М.: , 2006. – 214 с.
  59. Yannick Malevergne, Didier Sornette. Extreme Financial Risks: From Dependence to Risk Management (Springer Finance S.). – М.: , 2005. – 312 с.
  60. 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.
  61. Steven Roman. Introduction to the Mathematics of Finance: From Risk Management to Options Pricing (Undergraduate Texts in Mathematics). – М.: , 2004. – 354 с.
  62. Jeffrey M. Stanton, Kathryn R. Stam. The Visible Employee: Using Workplace Monitoring and Surveillance to Protect Information Assets-Without Compromising Employee Privacy or Trust. – М.: , 2006. – 272 с.
  63. Robert J. Shiller. The New Financial Order: Risk in the 21st Century. – М.: , 2004. – 384 с.
  64. Asset Allocation and International Investments (Finance and Capital Markets). – М.: , 2006. – 264 с.
  65. Tze Leung Lai, Haipeng Xing. Statistical Models and Methods for Financial Markets (Springer Texts in Statistics). – М.: , 2008. – 354 с.
  66. Juerg M. Syz. Property Derivatives: Pricing, Hedging and Applications (The Wiley Finance Series). – М.: , 2008. – 252 с.
  67. Handbook of Finance, 3 Volume Set. – М.: , 2008. – 2714 с.
  68. PhD, CFA, CPA Frank J. Fabozzi, Roland Fuss, Dieter G. Kaiser. The Handbook of Commodity Investing (Frank J. Fabozzi Series). – М.: , 2008. – 986 с.
  69. Greg N. Gregoriou, Christian Hoppe. The Handbook of Credit Portfolio Management. – М.: McGraw-Hill, 2008. – 504 с.
  70. Joseph Campana. Privacy MakeOver: The Essential Guide to Best Practices: How to Protect Assets and Foster Consumer Loyalty. – М.: , 2008. – 320 с.
  71. Ed Fishwick, Stephen Satchell. Quantitative Investment Risk Analysis (Quantitative Finance). – М.: , 2008. – 288 с.
  72. AHA Health Data Management Group. Estimated Useful Lives of Depreciable Hospital Assets Revised 2008 Edition (Estimated Useful Lives of Depreciable Hospital Assets). – М.: , 2008. – 76 с.
  73. Bernd Scherer. Portfolio Management. – М.: , 2008. – 200 с.
  74. brian Honan. Implementing ISO27001 in a Windows® Environment. – М.: , 2009. – 316 с.
  75. Jean-Philippe Bouchaud, Marc Potters. Theory of Financial Risk and Derivative Pricing: From Statistical Physics to Risk Management. – М.: , 2009. – 400 с.
  76. Svetlozar T. Rachev, John S. J. Hsu, Biliana S. Bagasheva, Frank J. Fabozzi. Bayesian Methods in Finance. – М.: John Wiley and Sons, Ltd, 2008. – 352 с.
  77. Jean Dermine. Bank Valuation and Value-Based Management: Deposit and Loan Pricing, Performance Evaluation, and Risk Management. – М.: , 2009. – 432 с.
  78. Salih N. Neftci. Principles of Financial Engineering. – М.: Academic Press, 2008. – 696 с.
  79. Alan Calder, Steve G Watkins. Information Security Risk Management for ISO27001 / ISO27002. – М.: , 2010. – 198 с.
  80. Jonathan Reuvid. The Business Guide to Credit Management: Advice and Solutions for Cost Control, Financial Risk Management and Capital Protection (Business Guides). – М.: , 2010. – 224 с.
  81. Andreas Bluemke. How to Invest in Structured Products: A Guide for Investors and Asset Managers. – М.: Wiley, 2009. – 384 с.
  82. Pension Fund Risk Management: Financial and Actuarial Modeling (Chapman & Hall/CRC Finance Series). – М.: , 2010. – 764 с.
  83. Jonathan Aikman. When Prime Brokers Fail. – М.: , 2010. – 304 с.
  84. Moorad Choudhry. An Introduction to Banking. – М.: , 2011. – 288 с.
  85. Moorad Choudhry. Bank Asset and Liability Management: Strategy, Trading, Analysis (+ CD-ROM). – М.: John Wiley and Sons, Ltd, 2007. – 1440 с.
  86. Antonio Marcos Duarte Jr. Risk Management in Asset Management. – М.: , 2000. – 0 с.
  87. Understanding Asset Allocation. – М.: , 2011. – 208 с.
  88. The Handbook Of Credit Portfolio Management. – М.: , 2011. – 504 с.
  89. It Auditing Using Controls To Protect Information Assets, 2Nd Edition. – М.: , 2011. – 512 с.
  90. Market Mind Games: Profiting From The New Psychology Of Risk, Uncertainty, And The Convergence Of Trading With Investing. – М.: , 2011. – 256 с.
  91. Roberto Ruozi, Pierpaolo Ferrari. Liquidity Risk Management in Banks: Economic and Regulatory Issues (SpringerBriefs in Finance). – М.: , 2012. – 59 с.
  92. rita maria ugarelli. WASTEWATER NETWORKS. – М.: LAP Lambert Academic Publishing, 2010. – 356 с.
  93. Arun Mondal. Flood Risk Assessment. – М.: LAP Lambert Academic Publishing, 2012. – 136 с.
  94. Luca Bianchi. Life Technical Provisions in Solvency II. – М.: LAP Lambert Academic Publishing, 2014. – 160 с.
  95. Renat Khabibullin. Dynamic Modeling of Multivariate Distributions. – М.: LAP Lambert Academic Publishing, 2012. – 68 с.
  96. Stoyan Stoyanov,Svetlozar Rachev and Frank Fabozzi. Optimal Portfolio Management in Highly Volatile Markets. – М.: Scholars' Press, 2013. – 244 с.
  97. Robert Slepaczuk and Grzegorz Zakrzewski. High-Frequency and Model-Free Volatility Estimators. – М.: LAP Lambert Academic Publishing, 2013. – 60 с.
  98. Maksym Burlaka. Bank Corporate Governance. – М.: LAP Lambert Academic Publishing, 2012. – 52 с.
  99. Faten Ben Bouheni and Mondher Bellalah. Islamic Banking & Risk Management. – М.: LAP Lambert Academic Publishing, 2012. – 160 с.
  100. JOHN G. GATSI and INNOCENT SENYO ACQUAH. INTRODUCTION TO PUBLIC PROCUREMENT MANAGEMENT IN GHANA. – М.: LAP Lambert Academic Publishing, 2011. – 88 с.
  101. Dusan Davidovic and Ioannis Kanalis. Information Protection in Critical infrastructure protection. – М.: LAP Lambert Academic Publishing, 2014. – 84 с.
  102. Akinwunmi Savage. Optimal Portfolio Rebalancing Strategy: Evidence from Finnish Stocks. – М.: LAP Lambert Academic Publishing, 2010. – 64 с.
  103. Omari Mhunzi. The role of Microfinance Institutions in Poverty Alleviation. – М.: LAP Lambert Academic Publishing, 2011. – 120 с.
  104. Stefano Filomeni. Securitisation: Financial Stability after Financial Crisis?. – М.: LAP Lambert Academic Publishing, 2011. – 108 с.
  105. Rakesh Kumar. Financial Derivatives Dynamics in India. – М.: LAP Lambert Academic Publishing, 2014. – 232 с.
  106. Shirantha Heenkenda. The Role of Microinsurance in Agricultural Risk Mitigation. – М.: LAP Lambert Academic Publishing, 2012. – 352 с.
  107. Andrea Bottasso. Stable Levy Processes In Finance. – М.: LAP Lambert Academic Publishing, 2011. – 140 с.
  108. Ramon Leo Gavan. Enterprise Risk Management Practice. – М.: Scholars' Press, 2012. – 264 с.
  109. Muhammad Waqas Younas. Working Capital Management and Profitability. – М.: LAP Lambert Academic Publishing, 2011. – 88 с.
  110. Jaskaran Singh Dhillon and Ramita Verma. Asset - Liability Management in Banking Sector. – М.: LAP Lambert Academic Publishing, 2012. – 244 с.
  111. Jaskaran Singh Dhillon. Marketing of Financial Services: A Case Study of Indian Banking Sector. – М.: LAP Lambert Academic Publishing, 2012. – 400 с.
  112. D.V. Lokeswar Reddy. Portfolio management on commodity stock market. – М.: LAP Lambert Academic Publishing, 2012. – 92 с.
  113. Kollimalla Kanaka Raju. Risk Management. – М.: LAP Lambert Academic Publishing, 2014. – 268 с.
  114. Harpreet Kaur Kohli and Arvinder Singh Chawla. Asset Liability Management in Banks. – М.: LAP Lambert Academic Publishing, 2013. – 356 с.
  115. Gavin Linderts. Is HIV/AIDS killing your organisations bottom line?. – М.: LAP Lambert Academic Publishing, 2010. – 64 с.
  116. Dr. Justin Nelson Michael. NON PERFORMING ASSETS IN C0-0PERATIVE BANKS. – М.: LAP Lambert Academic Publishing, 2011. – 264 с.
  117. JOHN CHIBAYA MBUYA PhD. ADVANCED CREDIT RISK MANAGEMENT IN THE BANKING INDUSTRY. – М.: LAP Lambert Academic Publishing, 2010. – 300 с.
  118. Jung-Suk Yu. The Fine Structure of Asset Returns, Jumps, and Stochastic Volatility. – М.: LAP Lambert Academic Publishing, 2013. – 128 с.
  119. Mthuli Ncube and . Sambulo Malumisa. Jump Diffusion and Stochastic Volatility Models in Securities Pricing. – М.: LAP Lambert Academic Publishing, 2012. – 124 с.
  120. Gentam Vara Kumar. Working capital management. – М.: Scholars' Press, 2014. – 672 с.
  121. Cengizhan Kaptan. Credit Insurance and Risk Mitigation. – М.: LAP Lambert Academic Publishing, 2014. – 104 с.
  122. Sumra Latif Mughal. Funds Flow and Performance of Managed Funds. – М.: LAP Lambert Academic Publishing, 2014. – 64 с.
  123. Giacomo Allori. Asset Allocation, Risk Management and the Variance Risk Premium. – М.: LAP Lambert Academic Publishing, 2011. – 132 с.

Дополнительные результаты

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  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. Bennett W. Golub, Leo M. Tilman, Bennett W. Golub, Leo M. Tilman. Risk Management: Approaches for Fixed Income Markets. – М.: , 0. – 0 с.
  8. Carol Alexander. Risk Management and Analysis, Measuring and Modelling Financial Risk (Wiley Series in Financial Engineering). – М.: , 0. – 0 с.
  9. David A. Dubofsky, Thomas W. Miller. Derivatives: Valuation and Risk Management. – М.: , 0. – 0 с.
  10. 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.
  11. The Professional Handbook of Financial Risk Management. – М.: , 0. – 0 с.
  12. 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.
  13. Loice Koskei. A Survey of Credit Risk Management Techniques:: The Case of Micro- Finance Institutions in Kenya. – М.: , 2012. – 88 с.
  14. 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.
  15. Joanne Linnerooth-Bayer, Ragnar E. Lofstedt, Gunnar Sjostedt. Transboundary Risk Management. – М.: , 0. – 0 с.
  16. Stephen Figlewski, Richard M. Levich. Risk Management: The State of the Art. – М.: , 0. – 0 с.
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  20. Reto Gallati. Risk Management and Capital Adequacy. – М.: McGraw-Hill, 2003. – 550 с.
  21. Preston G. Smith, Guy M. Merritt. Proactive Risk Management : Controlling Uncertainty in Product Development. – М.: , 0. – 0 с.
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  70. Peggy M. Jackson. Nonprofit Risk Management & Contingency Planning: Done in a Day Strategies. – М.: , 2006. – 224 с.
  71. Ngai Hang Chan, Hoi-Ying Wong. Simulation Techniques in Financial Risk Management (Statistics in Practice). – М.: , 2006. – 240 с.
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  97. The Risk Modeling Evaluation Handbook: Rethinking Financial Risk Management Methodologies In The Global Capital Markets. – М.: , 2011. – 528 с.
  98. Anthony Saunders, Linda Allen. Credit Risk Management In and Out of the Financial Crisis. – М.: Wiley, 2010. – 380 с.
  99. Roberto Ruozi, Pierpaolo Ferrari. Liquidity Risk Management in Banks: Economic and Regulatory Issues (SpringerBriefs in Finance). – М.: , 2012. – 59 с.
  100. George Adamantios Psarros. Operational Risk Management in Maritime Transport. – М.: LAP Lambert Academic Publishing, 2010. – 360 с.
  101. Peter Nilsson and Erik Ohlsson. Categorisation and formulation in risk management. – М.: LAP Lambert Academic Publishing, 2010. – 100 с.
  102. Joseph Michael Okwadi Tukei. Risk Management and patients' Vulnerability to Clinical Risks in Uganda. – М.: LAP Lambert Academic Publishing, 2014. – 104 с.
  103. Tommaso Giusti. Fire Risk Management for Valuable Contents in Historical Buildings. – М.: Scholars' Press, 2014. – 452 с.
  104. Ayman Ahmed Ezzat Othman. Value and Risk Management for Dynamic Brief Development in Construction. – М.: LAP Lambert Academic Publishing, 2010. – 484 с.
  105. Teressa Urgessa. Risk Management Practice in Saving and Credit Cooperatives. – М.: LAP Lambert Academic Publishing, 2012. – 112 с.
  106. Haven McCall. Risk Management Approaches Used in US Hospitals - A Literature Review. – М.: Scholars' Press, 2013. – 68 с.
  107. Nagah Eldaghar,Abdalla Shehata and Hoda Zaki. Risk Management in the Main University Hospital in Alexandria. – М.: LAP Lambert Academic Publishing, 2011. – 224 с.
  108. Shang-Tao Chien. Risk Management in Hospital-Acquired Legionnaires'' Disease. – М.: LAP Lambert Academic Publishing, 2010. – 120 с.
  109. C.R. Rene Robin. Role of Ontology in Software Risk Management - KM Approach. – М.: LAP Lambert Academic Publishing, 2012. – 224 с.
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  112. Amna Qandeel. Risk Management in Project Supply Chains under Dynamic Portfolios. – М.: LAP Lambert Academic Publishing, 2014. – 100 с.
  113. Ramon Leo Gavan. Enterprise Risk Management Practice. – М.: Scholars' Press, 2012. – 264 с.
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  119. Martin Dandira. A Review of Risk Management: Financial Services Sector in Zimbabwe. – М.: LAP Lambert Academic Publishing, 2012. – 116 с.
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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. BUSINESS PROCESS MANAGEMENT: система для руководителя. А. Крючкова, "Финансовая газета. Региональный выпуск", № 24, июнь 2005.
  3. Построение системы мотивации по технологии BUSINESS UNIT MANAGEMENT. В. Лунин, "Финансовая газета. Региональный выпуск", № 16, апрель 2005.
  4. Business performance management: источники эффективности. О. Духонина, П. Горянский, "Финансовая газета. Региональный выпуск", № 20, май 2004.
  5. Health management: совершенствуем здоровый образ работы. С. Царенко, "Кадровик.ру", N 5, май 2012 г.
  6. 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.
  7. Lifestyle management и консьерж-сервис. А.И. Гусев, "Банковский ритейл", N 1, I квартал 2012 г.
  8. Ошибки при формировании и развитии бизнеса private banking & wealth management. А.В. Александров, "Банковский ритейл", N 1, I квартал 2012 г.
  9. Risk-based pricing: посткризисные тенденции. А.В. Гидулян, "Банковское кредитование", N 1, январь-февраль 2012 г.
  10. Business Intelligence и Business Performance Management: основные термины и концепции. Ю.В. Амириди, "Управление в кредитной организации", N 5, сентябрь-октябрь 2011 г.
  11. Взаимодействие блока private banking & wealth management с розничным бизнесом. А.В. Александров, "Банковский ритейл", N 3, III квартал 2011 г.
  12. Trade-in как способ обмена автомобиля. С.Н. Гордеева, "Торговля: бухгалтерский учет и налогообложение", N 2, февраль 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. Проблемы применения универсальной юрисдикции in absentia. Г.А. Королев, "Журнал российского права", № 10, октябрь 2009.
  16. Нематериальные активы. Intangible assets. С.Н. Щадилова, "Консультант бухгалтера", № 10, октябрь 2009.
  17. Тонкости trade-in. С.А.Королев, "НДС. Проблемы и решения", № 8, август 2009.
  18. ОС: имущество, завод и оборудование. tangible assets. С.Н. Щадилова, "Консультант бухгалтера", № 6, июнь 2009.
  19. Business performance management: современный взгляд. Д. Исаев, "Финансовая газета", № 10, 11, март 2009.
  20. In-store banking - новая модель банковского бизнеса. А. Пятков, "Банковское обозрение", № 11, ноябрь 2008.
  21. Кто вы, CHIEF RISK OFFICER. М. Уилкинсон, "Риск-менеджмент", № 9-10, сентябрь-октябрь 2008.
  22. Директора заблудились между governance и management. А. Верников, "Банковское обозрение", № 8, август 2008.
  23. Отечественный private banking продолжает эволюционировать в сторону private wealth management. А.И. Гусев, "Инвестиционный банкинг", № 3, III квартал 2008.

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