Financial risk management management of interest risk from a corporate treasury perspective in a service enterprise /
Gardado en:
Autor Principal: | Schönborn, Jana |
---|---|
Autor Corporativo: | ebrary, Inc |
Formato: | Electrónico eBook |
Idioma: | inglés |
Publicado: |
Hamburg :
Diplomica Verlag,
2010.
|
Subjects: | |
Acceso en liña: | An electronic book accessible through the World Wide Web; click to view |
Tags: |
Engadir etiqueta
Sen Etiquetas, Sexa o primeiro en etiquetar este rexistro!
|
Títulos similares
Uncovered interest parity
por: Isard, Peter
Publicado: (2006)
por: Isard, Peter
Publicado: (2006)
Interest rate markets a practical approach to fixed income /
por: Jha, Siddhartha, 1984-
Publicado: (2011)
por: Jha, Siddhartha, 1984-
Publicado: (2011)
Interest-rate rules in a new Keynesian framework with investment
por: Pavlova, Elena, Dr
Publicado: (2011)
por: Pavlova, Elena, Dr
Publicado: (2011)
Interest-rate rules in a new Keynesian framework with investment
por: Pavlova, Elena, Dr
Publicado: (2011)
por: Pavlova, Elena, Dr
Publicado: (2011)
Advanced financial risk management tools and techniques for integrated credit risk and interest rate risk management /
por: Deventer, Donald R. van
Publicado: (2013)
por: Deventer, Donald R. van
Publicado: (2013)
Mathematical interest theory
por: Vaaler, Leslie Jane Federer
Publicado: (2009)
por: Vaaler, Leslie Jane Federer
Publicado: (2009)
Financial risk management : A practitioner's guide to managing market and credit risk /
por: Allen, Steven
Publicado: (2003)
por: Allen, Steven
Publicado: (2003)
Financial risk management : a practitioner's guide to managing market and credit risk (with CD-ROM) /
por: Allen, Steven
Publicado: (2003)
por: Allen, Steven
Publicado: (2003)
Elements of financial risk management
por: Christoffersen, Peter
Publicado: (2003)
por: Christoffersen, Peter
Publicado: (2003)
Theory of financial risks from statistical physics to risk management /
por: Bouchaud, Jean-Philippe, 1962-
Publicado: (2000)
por: Bouchaud, Jean-Philippe, 1962-
Publicado: (2000)
Financial risk management a practitioner's guide to managing market and credit risk /
por: Allen, Steven, 1945-
Publicado: (2013)
por: Allen, Steven, 1945-
Publicado: (2013)
Fundamentals of enterprise risk management how top companies assess risk, manage exposures, and seize opportunities /
por: Hampton, John J., 1942-
Publicado: (2009)
por: Hampton, John J., 1942-
Publicado: (2009)
Fundamentals of enterprise risk management : how top companies assess risk, manage exposure, and seize opportunity /
por: Hampton, John J., 1942-
Publicado: (2015)
por: Hampton, John J., 1942-
Publicado: (2015)
Interest rate determination in Lebanon
por: Poddar, Tushar
Publicado: (2006)
por: Poddar, Tushar
Publicado: (2006)
Dealing with financial risk
por: Shirreff, David, 1947-
Publicado: (2004)
por: Shirreff, David, 1947-
Publicado: (2004)
Financial enterprise risk management
por: Sweeting, Paul
Publicado: (2011)
por: Sweeting, Paul
Publicado: (2011)
Financial risk management : applications in market, credit, asset and liability management and firmwide risk /
por: Skoglund, Jimmy, 1971-, et al.
Publicado: (2015)
por: Skoglund, Jimmy, 1971-, et al.
Publicado: (2015)
Interest rate risk modeling the fixed income valuation course /
por: Nawalkha, Sanjay K.
Publicado: (2005)
por: Nawalkha, Sanjay K.
Publicado: (2005)
The AMA handbook of financial risk management
por: Hampton, John J., 1942-
Publicado: (2011)
por: Hampton, John J., 1942-
Publicado: (2011)
Corporate risk management
por: Merna, Tony
Publicado: (2008)
por: Merna, Tony
Publicado: (2008)
Corporate risk management
Publicado: (2008)
Publicado: (2008)
Risk management foundations for a changing financial world /
Publicado: (2010)
Publicado: (2010)
Risk management & insurance /
por: Harrington, Scott E.
Publicado: (2004)
por: Harrington, Scott E.
Publicado: (2004)
Operational risk management
Publicado: (2013)
Publicado: (2013)
A stakeholder rationale for risk management implications for corporate finance decisions /
por: Gossy, Gregor
Publicado: (2008)
por: Gossy, Gregor
Publicado: (2008)
Simulation techniques in financial risk management /
por: Chan, Ngai Hang, et al.
Publicado: (2015)
por: Chan, Ngai Hang, et al.
Publicado: (2015)
The limits of market-based risk transfer and implications for managing systemic risks
por: Groome, W. Todd
Publicado: (2006)
por: Groome, W. Todd
Publicado: (2006)
Handbook of financial risk management simulations and case studies /
por: Chan, Ngai Hang
Publicado: (2013)
por: Chan, Ngai Hang
Publicado: (2013)
Financial risk management: models, history, and institution models, history, and institution /
por: Malz, Allan M.
Publicado: (2011)
por: Malz, Allan M.
Publicado: (2011)
Risk management and insurance /
por: Harrington, Scott E.
Publicado: (2004)
por: Harrington, Scott E.
Publicado: (2004)
Risk management and insurance /
por: Harrington, Scott E.
Publicado: (2004)
por: Harrington, Scott E.
Publicado: (2004)
Operational risk management /
por: Pinto, C. Ariel, et al.
Publicado: (2015)
por: Pinto, C. Ariel, et al.
Publicado: (2015)
Mathematics and statistics for financial risk management /
por: Miller, Michael B. (Michael Bernard), 1973-
Publicado: (2013)
por: Miller, Michael B. (Michael Bernard), 1973-
Publicado: (2013)
Mathematics and statistics for financial risk management
por: Miller, Michael B.
Publicado: (2012)
por: Miller, Michael B.
Publicado: (2012)
The known, the unknown, and the unknowable in financial risk management measurement and theory advancing practice /
Publicado: (2010)
Publicado: (2010)
Alternative risk transfer integrated risk management through insurance, reinsurance, and the capital markets /
por: Banks, Erik
Publicado: (2004)
por: Banks, Erik
Publicado: (2004)
Enterprise risk management : from incentives to controls /
por: Lam, James
Publicado: (2014)
por: Lam, James
Publicado: (2014)
Perspectives on high real interest rates in Turkey /
por: Kannan, Prakash
Publicado: (2008)
por: Kannan, Prakash
Publicado: (2008)
Corporate value of enterprise risk management the next step in business management /
por: Segal, Sim, 1964-
Publicado: (2011)
por: Segal, Sim, 1964-
Publicado: (2011)
Managing and measuring risk emerging global standards and regulation after the financial crisis /
Publicado: (2013)
Publicado: (2013)
Títulos similares
-
Uncovered interest parity
por: Isard, Peter
Publicado: (2006) -
Interest rate markets a practical approach to fixed income /
por: Jha, Siddhartha, 1984-
Publicado: (2011) -
Interest-rate rules in a new Keynesian framework with investment
por: Pavlova, Elena, Dr
Publicado: (2011) -
Interest-rate rules in a new Keynesian framework with investment
por: Pavlova, Elena, Dr
Publicado: (2011) -
Advanced financial risk management tools and techniques for integrated credit risk and interest rate risk management /
por: Deventer, Donald R. van
Publicado: (2013)