Risk management.
概要
| 作品: | 83 作品在 83 項出版品 83 種語言 | |
|---|---|---|
書目資訊
Integrated risk management :techniques and strategies for managing corporate risk /
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The speculative strategist :high returns from controlled risk strategies in stock and futures markets /
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Trading strategies for direct access trading :making the most out of your capital /
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Managing financial risk :a guide to derivative products, financial engineering, and value maximization /
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Identifying and managing project risk :essential tools for failure-proofing your project /
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Active index investing :maximizing portfolio performance and minimizing risk through global index strategies /
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Effective maintenance management :risk and reliability strategies for optimizing performance /
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Value added risk management in financial institutions :leveraging Basel II & risk adjusted performance management /
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Governance and risk :an analytical handbook for investors, managers, directors, and stakeholders /
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Managing the unknown :a new approach to managing high uncertainty and risk in projects /
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Risk management and shareholders' value in banking :from risk measurement models to capital allocation policies /
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The risk of trading :mastering the most important element in financial speculation /
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Fundamentals of enterprise risk managementhow top companies assess risk, manage exposures, and seize opportunities /
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Life-cycle costingusing activity-based costing and Monte Carlo methods to manage future costs and risks /
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Managing project risk and uncertaintya constructively simple approach to decision making /
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Fundamentals of enterprise risk managementhow top companies assess risk, manage exposures, and seize opportunities /
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(書目-電子資源)
Life-cycle costingusing activity-based costing and Monte Carlo methods to manage future costs and risks /
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(書目-電子資源)
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