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Financial Risk Management

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The Italian Banking System: Impact of the Crisis and Future Perspectives

By Stefano Cosma, E. Gualandri

Banking Reform in Nigeria: The Aftermath of the 2009 Financial Crisis

By Y. Makanjuola

Bank Risk, Governance and Regulation

By Elena Beccalli, Federica Poli

Risk-Based Investment Management in Practice

By Frances Cowell

Risk Dilemmas: Forced Choices and Survival

By M. Jablonowski

Capital Requirements, Disclosure, and Supervision in the European Insurance Industry: New Challenges towards Solvency II

By M. Starita, I. Malafronte

Sovereign Risk and Public-Private Partnership During the Euro Crisis

By Maura Campra, Gianluca Oricchio, Eugenio Mario Braja, Paolo Esposito

Microfinance Institutions: Financial and Social Performance

By R. Mersland, O. Strom

Bank Performance, Risk and Firm Financing

By P. Molyneux

Bank Strategy, Governance and Ratings

By P. Molyneux

Sovereign Debt Crisis: The New Normal and the Newly Poor

By D. Chorafas

Credit Treasury: A Credit Pricing Guide in Liquid and Non-Liquid Markets

By G. Oricchio

Modern Bank Behaviour

By Juan Fernandez de Guevara Radoselovics, Jose Pastor Monsalvez

Precautionary Risk Management: Dealing with Catastrophic Loss Potentials in Business, The Community and Society

By M. Jablonowski

Energy Risk Modeling: Applied Modeling Methods for Risk Managers

By Nigel Da Costa Lewis

Bank Behaviour and Resilience: The Effect of Structures, Institutions and Agents

By C. Bakir

Forecasting Volatility in the Financial Markets

By John Knight, Stephen Satchell

Risk Management: Approaches for Fixed Income Markets

By Bennett W. Golub (Massachusetts Institute of Technology), Leo M. Tilman (Columbia University)