Systemic financial risk
Saved in:
Corporate Authors: | Organisation for Economic Co-operation and Development, ProQuest (Firm) |
---|---|
Format: | Electronic eBook |
Language: | English |
Published: |
Paris :
OECD,
2011.
|
Series: | OECD reviews of risk management policies,
|
Subjects: | |
Online Access: | Click to View |
Tags: |
Add Tag
No Tags, Be the first to tag this record!
|
Similar Items
Technical capabilities necessary for regulation of systemic financial risk summary of a workshop /
Published: (2010)
Published: (2010)
Financial risk forecasting the theory and practice of forecasting market risk, with implementation in R and Matlab /
by: Daníelsson, Jón
Published: (2011)
by: Daníelsson, Jón
Published: (2011)
The AMA handbook of financial risk management
by: Hampton, John J., 1942-
Published: (2011)
by: Hampton, John J., 1942-
Published: (2011)
Quantitative financial risk management : theory and practice /
by: Zopounidis, Constantin, et al.
Published: (2015)
by: Zopounidis, Constantin, et al.
Published: (2015)
Financial risk management: models, history, and institution models, history, and institution /
by: Malz, Allan M.
Published: (2011)
by: Malz, Allan M.
Published: (2011)
The known, the unknown, and the unknowable in financial risk management measurement and theory advancing practice /
Published: (2010)
Published: (2010)
Monitoring systemic risk based on dynamic thresholds
by: Lund-Jensen, Kasper
Published: (2012)
by: Lund-Jensen, Kasper
Published: (2012)
Financial risk management a practitioner's guide to managing market and credit risk /
by: Allen, Steven, 1945-
Published: (2013)
by: Allen, Steven, 1945-
Published: (2013)
Essentials of financial risk management
by: Horcher, Karen A.
Published: (2005)
by: Horcher, Karen A.
Published: (2005)
Risk management and financial institutions /
by: Hull, John C.
Published: (2012)
by: Hull, John C.
Published: (2012)
Risk management and financial institutions /
by: Hull, John, 1946-
Published: (2015)
by: Hull, John, 1946-
Published: (2015)
Riding global financial waves the economic impact of global financial shocks on emerging market economies /
by: Adler, Gustavo, 1974-
Published: (2012)
by: Adler, Gustavo, 1974-
Published: (2012)
Operational risk management
Published: (2013)
Published: (2013)
Stress testing for risk control under Basel II
by: Chorafas, Dimitris N.
Published: (2007)
by: Chorafas, Dimitris N.
Published: (2007)
Risk management in financial institutions formulating value propositions /
Published: (2010)
Published: (2010)
Systemic risk monitoring (SysMo) toolkit a user guide /
by: Blancher, Nicolas R.
Published: (2013)
by: Blancher, Nicolas R.
Published: (2013)
The real effects of financial sector risk
by: Tieman, Alexander F.
Published: (2009)
by: Tieman, Alexander F.
Published: (2009)
Barriers to household risk management evidence from India /
by: Cole, Shawn
Published: (2012)
by: Cole, Shawn
Published: (2012)
Handbook of market risk /
by: Szylar, Christian
Published: (2013)
by: Szylar, Christian
Published: (2013)
Practical risk-adjusted performance measurement
by: Bacon, Carl R.
Published: (2012)
by: Bacon, Carl R.
Published: (2012)
Risk awareness, capital markets and catastrophic risks
Published: (2011)
Published: (2011)
VaR methodology for non-gaussian finance
by: Habart-Corlosquet, Marine
Published: (2013)
by: Habart-Corlosquet, Marine
Published: (2013)
Winning at risk strategies to go beyond Basel /
by: Cortez, Annetta
Published: (2011)
by: Cortez, Annetta
Published: (2011)
Marketing risk management within commercial banks in Kenya in response to the 2007-2008 global financial crisis /
by: Ogada, Silas Omondi
Published: (2011)
by: Ogada, Silas Omondi
Published: (2011)
Idiosyncratic and systemic risk in the European corporate sector CDO perspective /
by: Chan-Lau, Jorge A.
Published: (2006)
by: Chan-Lau, Jorge A.
Published: (2006)
Financial risk management : applications in market, credit, asset and liability management and firmwide risk /
by: Skoglund, Jimmy, 1971-, et al.
Published: (2015)
by: Skoglund, Jimmy, 1971-, et al.
Published: (2015)
Future global shocks improving risk governance.
Published: (2011)
Published: (2011)
Financial enterprise risk management
by: Sweeting, Paul
Published: (2011)
by: Sweeting, Paul
Published: (2011)
Risk management foundations for a changing financial world /
Published: (2010)
Published: (2010)
Financial and fiscal instruments for catastrophe risk management addressing losses from flood hazards in Central Europe /
by: Pollner, John D., 1957-
Published: (2012)
by: Pollner, John D., 1957-
Published: (2012)
Leverage how cheap money will destroy the world /
by: Denninger, Karl, 1963-
Published: (2012)
by: Denninger, Karl, 1963-
Published: (2012)
Crisis wanted? : leading risk managers on risk culture /
by: Cowell, Frances, et al.
Published: (2016)
by: Cowell, Frances, et al.
Published: (2016)
Theory of financial risks from statistical physics to risk management /
by: Bouchaud, Jean-Philippe, 1962-
Published: (2000)
by: Bouchaud, Jean-Philippe, 1962-
Published: (2000)
Effect of selected financial characteristics on sensitivity to systemic risk : a case of Kenya Airways Limited /
by: Ochieng, Tobias O.
Published: (2016)
by: Ochieng, Tobias O.
Published: (2016)
Leverage? What leverage? a deep dive into the U.S. flow of funds in search of clues to the global crisis /
by: Bhatia, Ashok Vir
Published: (2012)
by: Bhatia, Ashok Vir
Published: (2012)
The risks of financial institutions
Published: (2006)
Published: (2006)
Financial contagion the viral threat to the wealth of nations /
Published: (2011)
Published: (2011)
Plight of the fortune tellers why we need to manage financial risk differently /
by: Rebonato, Riccardo
Published: (2007)
by: Rebonato, Riccardo
Published: (2007)
Risk management technology in financial services risk control, stress testing, models, and IT systems and structures /
by: Chorafas, Dimitris N.
Published: (2007)
by: Chorafas, Dimitris N.
Published: (2007)
Credit risk management practices : a case study of Equity Bank Ltd /
by: Wambui, Edwin Gakuru
Published: (2009)
by: Wambui, Edwin Gakuru
Published: (2009)
Similar Items
-
Technical capabilities necessary for regulation of systemic financial risk summary of a workshop /
Published: (2010) -
Financial risk forecasting the theory and practice of forecasting market risk, with implementation in R and Matlab /
by: Daníelsson, Jón
Published: (2011) -
The AMA handbook of financial risk management
by: Hampton, John J., 1942-
Published: (2011) -
Quantitative financial risk management : theory and practice /
by: Zopounidis, Constantin, et al.
Published: (2015) -
Financial risk management: models, history, and institution models, history, and institution /
by: Malz, Allan M.
Published: (2011)