Your search returned 66 results.

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Monitoring systemic risk based on dynamic thresholds by Lund-Jensen, Kasper. Publication: Washington : International Monetary Fund, 2012 . 35 p. : Date: 2012 Availability: No items available:

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The real effects of financial sector risk by Tieman, Alexander F. Publication: [Washington, D.C.] : International Monetary Fund, 2009 . 32 p. : Date: 2009 Availability: No items available:

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International risk sharing during the globalization era by Flood, Robert P. Publication: [Washington, D.C.] : International Monetary Fund, 2009 . 38 p. : Date: 2009 Availability: No items available:

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Credit risk spreads in local and foreign currencies by Galai, Dan. Publication: [Washington D.C.] : International Monetary Fund, 2009 . 20 p. Date: 2009 Availability: No items available:

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Excessive lending, leverage, and risk-taking in the presence of bailout expectations by Georgiou, Andr�eas. Publication: [Washington, D.C.] : International Monetary Fund, Statistics Dept., 2009 . 25 p. : , "October 2009." Date: 2009 Availability: No items available:

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Estimating default frequencies and macrofinancial linkages in the Mexican banking sector by Blavy, Roldolphe. Publication: [Washington D.C.] : International Monetary Fund, 2009 . 32 p. : Date: 2009 Availability: No items available:

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Treasury finance and development banking : a guide to credit, debt, and risk / by Mazzi, Biagio. Publication: . 1 online resource (333 pages) : Availability: No items available:

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Financial risk forecasting the theory and practice of forecasting market risk, with implementation in R and Matlab / by Dan�ielsson, J�on. Publication: Chichester, West Sussex, U.K. : Wiley, 2011 . xxi, 274 p. : Date: 2011 Availability: No items available:

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The AMA handbook of financial risk management by Hampton, John J., Publication: New York : American Management Association, 2011 . xvi, 303 p. , Includes index. Date: 2011 Availability: No items available:

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Financial risk management: models, history, and institution models, history, and institution / by Malz, Allan M. Publication: Hoboken, N.J. : Wiley, 2011 . xxiii, 722 p. : Date: 2011 Availability: No items available:

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Handbook of market risk / by Szylar, Christian. Publication: . 1 online resource (428 pages) Availability: No items available:

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Derivatives, risk management & value by Bellalah, Mondher. Publication: Hackensack, N.J. : World Scientific, 2010 . xlv, 949 p. : Date: 2010 Availability: No items available:

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Review of risk mitigation instruments for infrastructure financing and recent trends and developments by Matsukawa, Tomoko. Publication: [Washington, D.C.] : World Bank : | PPIAF, 2007 . xii, 72 p. : Date: 2007 Availability: No items available:

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