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A Financial Analysis of Risk and Control

a Financial Analysis of Risk and Control is een boek van Rod Smith;

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A Financial Analysis of Risk and Control

a Financial Analysis of Risk and Control is een boek van Rod Smith;

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Strategic Financial Planning for Public Sector Services

Strategic financial planning can have a dramatic impact on financial monitoring and control, to achieve value for money. The book covers;

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Financial Risk Management

uncertainty, the structuring of limits to control risk taking, and a review of mathematical models and how they can contribute to risk control;

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Financial Risk Management For Dummies

taking control of it. Plus, you'll discover how to measure and value financial risk, set limits, stop losses, control drawdowns and hedge bets;

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Risk Management Technology in Financial Services

Written for professionals in financial services with responsibility for IT and risk management, Dimitris Chorafas surveys the methodology;

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Managing Financial Risk for Multinational Companies in South East Asia

long-term strategy, such as investment risk, credit risk, and insurance risk are the basis focus for a financial analysis.;

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Corporate Financial Risk Management

and their control, such as market, credit, operational, and legal risk as well as corporate financial risk management involving organizational;

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Recent Applications of Financial Risk Modelling and Portfolio Management

the advancements being made within financial risk modelling and portfolio control. Recent Applications of Financial Risk Modelling and;

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Financial Accounting and Management Control

relationship between financial accounting and management control. The analysis is based on theoretical reasoning as well as several examples of how;

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Financial Accounting and Management Control

relationship between financial accounting and management control. The analysis is based on theoretical reasoning as well as several examples of how;

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Quantitative Financial Risk Management

A mathematical guide to measuring and managing financial risk. Our modern economy depends on financial markets. Yet financial;

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Theory of Financial Risk and Derivative Pricing

Risk control and derivative pricing have become of major concern to financial institutions, and there is a real need for adequate;

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Theory of Financial Risk and Derivative Pricing

Risk control and derivative pricing have become of major concern to financial institutions, and there is a real need for adequate;

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Risk Management and Analysis

publication of The Handbook of Risk Management and Analysis interest and the practice of management, modelling and control of financial risks has;

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Bank Stability, Sovereign Debt and Derivatives

control; private equity investment; credit guarantee institutions, performance and risk analysis; credit supply and the rise in sovereign debt;

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Credit Risk Management

underlying credit risk evaluation, and to use those underlying principles to undertake an analysis of non financial and financial risks when;

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Unified Financial Analysis

efficient financial control cannot be overstated. The book argues that from a technical perspective, there is no need for more, but for better and;

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SAP Governance, Risk and Compliance

Control, Access Control and Risk Management, the book provides the standard implementation scenarios and information on customizing using a;

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Governance & Control In Finance & Banking

standards will effectively improve financial institutions in this case? Thus, a new paradigm for risk and performance in finance and banking needs;

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Financial Risk and Financial Risk Management

Financial Risk Measurement and Management is an area of endeavor that has had its profile raised every time a significant monetary loss;

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The Illusion of Control

A challenge to the conventional wisdom surrounding financial risk, providing insight into why easy solutions to control the financial;

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Practical Methods of Financial Engineering and Risk Management

Risk control, capital allocation, and realistic derivative pricing and hedging are critical concerns for major financial institutions and;

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Understanding Financial Risk Management

Financial Risk Management is a topic of primary importance in financial markets and, more generally, in life. Risk can be seen as an;

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Risk Analysis in Finance and Insurance

financial mathematics. These methods can be naturally extended and applied in actuarial science, thus leading to unified methods of risk analysis;

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Risk Analysis in Finance and Insurance

financial mathematics. These methods can be naturally extended and applied in actuarial science, thus leading to unified methods of risk analysis;

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The Synergy of Microfinance: Fighting Poverty by Moving beyond Credit

a mass scale and could pose a financial risk for poor households or households that over-borrow. There is also a discussion on the Andhra;

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