by
Hull, John, 1946-
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Risk management and financial institutions / Hull, John, 1946
by
Hull, John, 1946- author.
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Risk management and financial institutions / Hull, John, 1946 author.
by
Hull, John, 1946-
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Risk management and financial institutions + website / Hull, John, 1946
by
Malz, Allan M.
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Financial risk management : models, history, and institutions / Malz, Allan M.
by
Malz, Allan M.
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Financial Risk Management : Models, History, and Institutions. Malz, Allan M.
by
van Grinsven, J.H.M.
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Risk Management in Financial Institutions : Formulating Value Propositions. van Grinsven, J.H.M.
by
Rohmeyer, Paul, author.
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Financial cybersecurity risk management : leadership perspectives and guidance for systems and
by
Hull, John C.
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Risk Management and Financial Institutions : Risk Management and Financial Institutions (4th
by
Laycock, Mark.
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Risk Management At The Top : A Guide to Risk and its Governance in Financial Institutions. Laycock
by
Wilson, Thomas C., 1961- author.
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Value and capital management : a handbook for the finance and risk functions of financial
by
Wilson, Thomas C., 1961- author.
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Value and capital management : a handbook for the finance and risk functions of financial
by
Nash, Peter, 1977- author.
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Financial institutions Risk management.
by
Daníelsson, Jón, author.
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Financial institutions Risk management.
by
Nash, Peter, 1977- author.
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Financial institutions Risk management.
by
Skoglund, Jimmy, 1971- author.
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Financial institutions Risk management.
by
Sweeting, Paul.
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Financial institutions Risk management.
by
Cowell, Frances.
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Financial institutions Risk management.
by
Vit, Gregory B.
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Financial institutions Risk management Case studies.
by
Meissner, Gunter.
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Financial institutions Risk management Econometric models.
by
Skoglund, Jimmy.
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Financial institutions Risk management.
by
Chiu, Iris H.-Y, author.
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Financial institutions Risk management.
by
Kim, Yoon Sook.
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Financial institutions Risk management.
by
Cowell, Frances, author.
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Financial institutions Risk management.
by
Paul, Karamjeet.
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sustainability management section 3. Implementation issues and the wide reaching impact on institutions and
by
Luca Regis (Ed.)
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requirements, risk management, and risk sharing. This collection of papers provides insights, from both a
by
Sundararajan, Venkataraman, d. 2010.
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management under Islamic banking Islamic financial institutions and products in the global financial
by
Parker, Barbara.
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, Currency, Wealth Measures, and Financial Institutions 9 Global Economy 2 Globalization of Labor 10
by
Agarwal, O. P.
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financial markets CHAPTER 4 : Offshore Banking Centres and Management of Risks CHAPTER 5 : Foreign
by
Veit, Daniel J. editor.
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Information Risk in Financial Institutions: Field Study and Research Roadmap Keynote Paper Technology
by
Matthäus-Maier, Ingrid.
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Microinsurance: Providing Profitable Risk Management Possibilities for the Low Income Market Securitisation: A
by
Torrey, Yeram E.
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POSESONGOING CHALLENGES FOR FINANCIAL INSTITUTIONS REGULATORS VIEW HEDGE FUND ACTIVITIESAS POTENTIAL SOURCES
by
Bowes, Alison.
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Prison: Vulnerability, Abuse and Neglect 9 Brain Injury, Case management and Financial Abuse: A
by
Bank, World.
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developing countries. As major financial institutions currently recognize losses from the U.S. subprime
by
Rao, H. R. (H. Raghav)
Chapter PDFs via platform: http://services.igi-global.com/resolvedoi/resolve.aspx?doi=10.4018/978-1-59904-171-1
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Banking / Kevin Streff Security Risk Management Strategy of Financial Services Institutions / Guoling
by
Scarlata, Jodi G.
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measures, and risk management need to be reconciled and will require adjustments on the part of all parties.
by
Verheyen, Gero.
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MIGA The Global Financial Crisis and the Future of International Financial Institutions
by
Carey, Mark.
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forward to greater financial stability and better risk management of financial institutions.
by
Voit, Johannes. author.
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notions and tools of risk management and capital requirements for financial institutions, including an
by
Dill, Alexander
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bank regulation, its coverage of corporate governance, risk management, compliance, and management of
by
Enoch, Charles.
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European Union 8 Fragmentation of the Financial System PART II: UNDERPINNING FINANCIAL STABILITY IN
by
Caprio, Gerard.
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financial institutions and offer cross disciplinary solutions for policymakers and banking regulators. The
by
Kubota, Takashi.
Chapter PDFs via platform: http://services.igi-global.com/resolvedoi/resolve.aspx?doi=10.4018/978-1-59904-828-4
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cyber risk management with the framework of ERM and Basel II / Junji Hiwatashi 3. IT development and
by
Dill, Alexander
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of corporate governance, risk management, compliance, and management of conflicts of interest in
by
Iqbal, Zamir.
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: Risk Management Chapter 14: Regulation of Islamic Financial Institutions Chapter 15: Corporate
by
Leonard, Liam.
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such as environment, labour, risk management, corporate social responsibility, corporate governance
by
Corporation, Essvale.
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Considerations for Risk Management Systems Design Commonly Used Terminology Introduction List of Terms
by
Braga, Carlos A. Primo.
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Frameworks 18: Public Debt Management and Sovereign Risk during the Worst Financial Crisis on Record
by
Peterson, Pamela P.
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CHAPTER 1 Introduction to Financial Management and Analysis CHAPTER 2 Securities and Markets CHAPTER
by
Guerard, John B. author.
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corporation, the instruments and institutions through which capital can be raised, the management of the flow
by
Feldstein, Martin.
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officials (in both industrial and developing nations), senior policymakers at international institutions
by
Churchill, Craig.
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microinsurance products 3.6 Risk and financial management 3.7 Organization development in microinsurance
by
Keenan, Sean C.
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Financial Institutions as Information Processors Financial Institutions' Raison d'Etre Low Barriers to
by
Zinkin, John.
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, together with the closely associated topic of risk management, has gripped not only governments and banks
by
Cortez, Annetta.
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APPETITE THE LIVING WILL 7 Integrating Risk Management into Your Organization EMBEDDING RISK
by
González, José Antonio.
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, Financial Markets, and Industrial Development: Lessons from the Economic Histories of Brazil and Mexico 8
by
Nenova, Tatiana.
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Finance Informal Housing Finance Homeowners' Insurance Risk Management Secondary Market for
by
van Grinsven, J.H.M.
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catastrophes many financial institutions focused their risk management efforts on operational risk management
by
Barcelâo, Damiáa.
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river basin and where financial resources could be allocated most efficiently. However, risk perceptions
by
Malhotra, Mohini.
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Abbreviations I. Introduction II. The Mismatch between MSMEs' Demand for and Financial Institutions
by
Moyer, Stephen E.
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Requirements and Improving Risk Management 3.1. Strengthen capital requirements for financial institutions
by
Boelhouwer, P.
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? Conclusions 'The quantified customer', or how financial institutions value risk Risk and home ownership
by
Staff, Hong Kong Institute of Bankers (HKIB).
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Operational Risk? Operational Risk in Financial Institutions Causal Factors Categories Important
by
Facility, Public-Private Infrastructure Advisory.
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Participation: In Infrastructure: Project Database B: Sample Extract Of a: Risk Management Register: for
by
PPIAF.
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/PPIAF Private Participation in Infrastructure Project Database APPENDIX B. Sample Extract of a Risk
by
Abrahams, Clark R.
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the market failures that our current risk management systems need to address. Not only do Abrahams and
by
Jajodia, Sushil. editor.
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Protecting Financial Institutions from Brute Force Attacks Agency Theory: Can it be Used to Strengthen IT
by
Department, International Monetary Fund. Monetary and Capital Markets.
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financial system more broadly.Important risk measures have been taken to reduce credit risk, but further
by
de Weert, Frans.
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the broad subject of capital management in financial institutions. Capital management encompasses many
by
Brigo, Damiano.
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of many financial institutions. It has become commonplace to blame the inadequacy of credit risk
by
Stepniewski, Jan.
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. INFORMATION SYSTEMS AND RISK MANAGEMENT IN HEALTH INSTITUTIONS. A PRACTICE BASED APPROACH 2.2. MANAGEMENT
by
Shah, Anwar.
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on Risk Management International Federation of Accountants Standards Applicable to the Private and
by
Wahyudi, Imam.
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Risk Management Chapter 16: Future Agenda Landscape of Integrated Islamic Risk Management
by
Ugeux, Georges.
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: Financial Institutions Governance (or Lack Thereof) Risk Management The Dysfunctional Boards of Directors
by
Staff, Hong Kong Institute of Bankers (HKIB).
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Management of Financial Institutions Introduction Issues in Treasury Operations Balance Sheet
by
Leonard, Liam.
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Sustainable Supply Chain Management Financial Markets and the Global Compact The Equator Principles
by
El Tiby Ahmed, Amr Mohamed.
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Islamic finance industry's development, risk management, regulation and corporate governance. An
by
Dunkel, Norbert W.
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Campus Fundraising Plans Case Vignettes Chapter 9: Legal Issues and Risk Management Distinctions
by
Soprano, Aldo.
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operational risk in the budgeting process 4 Analyzing Insurance Policies 4.1 Insurance management and
by
Peterson Drake, Pamela.
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, understanding and analyzing financial statements, and different types of corporate financial strategy, planning
by
Scientific, World.
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institutions, a case is made for vigilance not only to market and counter party risk but also operational risk
by
Bank, World.
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developing countries. As major financial institutions currently recognize losses from the U.S. subprime
by
El-Gamal, Mahmoud A.
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Characterization of Financial Institutions Agency and Takaful as Mutual Insurance Agency in Banking Agency
by
Subramanian, Revathi.
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Bring Data! DATA ANALYSIS AND CAUSAL RELATIONSHIPS BEHAVIORAL MODELING IN FINANCIAL INSTITUTIONS
by
Basu, Priya.
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Recent Innovations in Micro and Weather Insurance Price Insurance and Risk Management Products for
by
Shah, Anwar.
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Clauses 5.3. Some Pitfalls in Debt Management 5.4. Asset and Liability Management 5.5. Relevant
by
Ugeux, Georges.
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Perspective Japan Japanese Financial Institutions Are Global Restructuring the Japanese Financial
by
Rezaee, Zabihollah.
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IMPAIRMENT CONCLUSION NOTES PART IV: Assessment of Financial Institutions 11 Financial Analysis
by
Eltona, Patricia R.
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POTENTIALIMPROVEMENTS FOR FUTURE TRANSITIONS RELATED GAO PRODUCTS Oversight of Financial Institutions and Markets
by
Fong, H. Gifford.
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Chapter 2 Asset/Liability Management and Enterprise Risk Management of an Insurer Thomas S. Y. Ho 1
by
Williamson Jr., Philip B.
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INTRODUCTION COMPARISON OF DEPOSITORY INSTITUTIONS AND SYSTEMICALLY SIGNIFICANT FINANCIAL INSTITUTIONS
by
Chiquier, Loic.
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Housing Finance Credit Risk Other Risks Liquidity Risk Market Risk Agency Risk
by
Caouette, John B.
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ADVANTAGES AND DISADVANTAGES DYNAMIC CREDIT RISK MANAGEMENT SYSTEMS DECISION TREE MODELS NEURAL
by
Ferrari, Aurora.
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Middle Promoting Weather Risk Management for MSMFs Appendix 1 Definitions Used in This Report
by
Lam, James.
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Operational Risk Management Process Risk Policy and Organization Risk Identification and Assessment
by
Ismal, Rifki.
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in Banking Institutions Profile of Liquidity Risk in Banking Institutions Process of Liquidity
by
Girling, Philippa X.
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implementing operational risk management frameworks at major financial institutions to develop a practical
by
Kenett, Ron.
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demonstrates how Operational Risk Management is synergetic to other risk management activities such as
by
van Greuning, Hennie.
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Internal Control of Financial Reporting Risk Management Framework Other Initiatives 4 Balance
by
PPIAF.
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responsibility Figure 6.2 Demand risk A forecast and two possible outcomes Figure 6.3 Demand risk for the
by
Evanoff, Douglas D.
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the U.S. Financial System and Implications for Systemic Risk Timothy F. Geithner 1. Changing Market
by
Wiemer, Calla.
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to asset management companies (AMCs) 2.4. Classifying loans based on risk 2.5. Dispensation of
by
Ghosh, Amalendu.
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control framework, risk management architecture, credit risk rating, risk based loan pricing, portfolio
by
Krichene, Noureddine.
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management and the structure of Islamic financial products. Author and Islamic finance expert Noureddine
by
Ishikawa, Akira.
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Bombing Attacks; How Typhoon Psychology is Fatal; How to Deal with Bankruptcy of Financial Institutions
by
Mehta, Dileep.
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Why Financial Institutions Are Necessary 1.3.1 Actuarial risk 1.3.2 Informational efficiency
by
Peters, Gareth W.
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financial institutions Advances in Heavy Tailed Risk Modeling: A Handbook of Operational Risk is an
by
Van Deventer, Donald R.
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Risk Management Evolution Equity Risk Management Evolution Option Risk Management Evolution
by
Hammer, Stephanie.
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to financial institutions? How has your proprietary trading heritage impacted your utilization of
by
Rösch, Daniel.
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secruritisations, derivatives, and risk management Credit Securitisations and Derivatives is a one stop resource
by
van Greuning, Hennie.
Format:
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, Liquidity, and Market Risks Asset Liability Management (ALM) Liquidity Risk Market Risk Market
by
Lahsasna, Ahcene.
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Compliance Risk 4.2.4. The Process of Risk Management and Lines of Defence 4.3. The Application of the
by
Gregory, Jon.
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financial institutions are developing capabilities for valuing it. It also covers portfolio management and
by
Ayub, Muhammad.
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various sectors of the economy, risk management, accounting treatment, and working of Islamic financial
by
Gregory, Jon.
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risk management.Counterparty credit risk has become the key element of financialrisk management