Derivativs And Risk

Decision Taking, Confidence and Risk Management in Banks from Early Modernity to the 20th Century

Decision Taking, Confidence and Risk Management in Banks from Early Modernity to the 20th Century (Palgrave Studies in the History of Finance) by Korinna Schönhärl
English | 6 Feb. 2017 | ISBN: 3319420755 | 342 Pages | PDF | 3.76 MB

This book offers 14 contributions that examine key questions in bank decision-taking,
constitution of confidence in banks and risk management practices from Early Modernity to the twentieth century. It explores how the various mechanisms of bank decision taking changed over time. Chapters also analyse the types of risk management techniques used,

Management, Valuation, and Risk for Human Capital and Human Assets (repost)  eBooks & eLearning

Posted by roxul at Feb. 8, 2017
Management, Valuation, and Risk for Human Capital and Human Assets (repost)

M. Russ, "Management, Valuation, and Risk for Human Capital and Human Assets: Building the Foundation for a Multi-Disciplinary, Multi-Level Theory"
2014 | ISBN-10: 1137360941 | 247 pages | PDF | 1 MB

"Earthquakes: Tectonics, Hazard and Risk Mitigation" ed. by Taher Zouaghi  eBooks & eLearning

Posted by exLib at Feb. 5, 2017
"Earthquakes: Tectonics, Hazard and Risk Mitigation" ed. by Taher Zouaghi

"Earthquakes: Tectonics, Hazard and Risk Mitigation" ed. by Taher Zouaghi
ITexLi | 2017 | ISBN: 9535128868 953512885X 9789535128854 9789535128861 | 377 pages | PDF | 166 MB

This book is devoted to diverse aspects of earthquake researches, especially to new achievements in seismicity that involves geosciences, assessment, and mitigation. The book contains advanced materials of detailed engineering investigations, which can help more clearly appreciate, predict, and manage different earthquake processes.

Financial Derivatives: Pricing and Risk Management  eBooks & eLearning

Posted by tarantoga at Feb. 2, 2017
Financial Derivatives: Pricing and Risk Management

Robert Kolb, James A. Overdahl, "Financial Derivatives: Pricing and Risk Management"
ISBN: 0470499109 | 2009 | EPUB | 600 pages | 6 MB

Regulating Finance: Balancing Freedom and Risk  eBooks & eLearning

Posted by alt_f4 at Jan. 24, 2017
Regulating Finance: Balancing Freedom and Risk

Regulating Finance: Balancing Freedom and Risk by Tommaso Padoa-Schioppa
English | June 3, 2004 | ISBN: 0199270562 | 172 Pages | PDF | 2 MB

Grounding its analysis in the historical evolution of financial regulation, this book addresses a range of public policy issues that concern the design of financial regulation and its enforcement, and contributes several new ideas to the debate in this field.

Vulnerability, Uncertainity, and Risk [Repost]  eBooks & eLearning

Posted by tanas.olesya at Jan. 19, 2017
Vulnerability, Uncertainity, and Risk [Repost]

Vulnerability, Uncertainity, and Risk: Analysis, Modeling, and Management by Bilal M. Ayyub
English | 30 Apr. 2011 | ISBN: 0784411700 | 1018 Pages | PDF | 40 MB

These papers demonstrate the transformation of intellectual discussions into robust frameworks for handling emerging vulnerabilities and risks and providing analytical bases to prepare for national and international disasters.
Investigating the Performance of Chinese Banks: Efficiency and Risk Features (repost)

Investigating the Performance of Chinese Banks: Efficiency and Risk Features by Yong Tan
English | 2016 | ISBN: 1137493755 | 200 pages | PDF | 4 MB

Islamic Banking and Finance: New Perspectives on Profit Sharing and Risk  eBooks & eLearning

Posted by alt_f4 at Jan. 12, 2017
Islamic Banking and Finance: New Perspectives on Profit Sharing and Risk

Islamic Banking and Finance: New Perspectives on Profit Sharing and Risk by Munawar Iqbal
English | Mar. 31, 2002 | ISBN: 1840647876 | 267 Pages | PDF | 3 MB

It is a well-known fact that conventional commercial banks provide financial intermediation services on the basis of interest rates on assets and liabilities.

Credit Derivatives: Trading, Investing,and Risk Management (repost)  eBooks & eLearning

Posted by viserion at Jan. 8, 2017
Credit Derivatives: Trading, Investing,and Risk Management (repost)

Geoff Chaplin, "Credit Derivatives: Trading, Investing,and Risk Management, 2nd Edition"
ISBN: 0470686448 | 2010 | EPUB | 408 pages | 4 MB
Balancing between Trade and Risk: Integrating Legal and Social Science Perspectives

Marjolein B. A. van Asselt, Esther Versluis, Ellen Vos, "Balancing between Trade and Risk: Integrating Legal and Social Science Perspectives"
English | 2013 | ISBN: 1849713618 | PDF | pages: 297 | 3.5 mb