Your search returned 12 results.

1.
Engineering the financial crisis systemic risk and the failure of regulation / by Friedman, Jeffrey, Publication: Philadelphia : University of Pennsylvania Press, 2011 . x, 212 p. : Date: 2011 Availability: No items available:

2.
Engineering the financial crisis systemic risk and the failure of regulation / by Friedman, Jeffrey, Publication: Philadelphia : University of Pennsylvania Press, 2011 . x, 212 p. : Date: 2011 Availability: No items available:

3.
Portfolio credit risk and macroeconomic shocks applications to stress testing under data-restricted environments / by Segoviano, Miguel A. Publication: [Washington, D.C.] : International Monetary Fund, 2006 . 50 p. : , "December 2006." Date: 2006 Availability: No items available:

4.
Distance-to-default in banking a bridge too far? / by Chan-Lau, Jorge A. Publication: [Washington, D.C.] : International Monetary Fund, Monetary and Financial Systems Dept., 2006 . 17 p. : , "September 2006." Date: 2006 Availability: No items available:

5.
Banks' precautionary capital and persistent credit crunches / by Valencia, Fabian. Publication: . 1 online resource (37 pages) : Availability: No items available:

6.
Bank and insurance capital management by De Weert, Frans. Publication: Chichester [England] ; | Hoboken, N.J. : Wiley, 2011 . xiii, 246 p. : Date: 2011 Availability: No items available:

7.
Value at risk and bank capital management by Saita, Francesco. Publication: Amsterdam ; | Boston : Elsevier Academic Press, 2007 . xvi, 259 p. : Date: 2007 Availability: No items available:

8.
Portfolio credit risk and macroeconomic shocks applications to stress testing under data-restricted environments / by Segoviano, Miguel A. Publication: [Washington, D.C.] : International Monetary Fund, 2006 . 50 p. : , "December 2006." Date: 2006 Availability: No items available:

9.
Distance-to-default in banking a bridge too far? / by Chan-Lau, Jorge A. Publication: [Washington, D.C.] : International Monetary Fund, Monetary and Financial Systems Dept., 2006 . 17 p. : , "September 2006." Date: 2006 Availability: No items available:

10.
Banks' precautionary capital and persistent credit crunches / by Valencia, Fabian. Publication: . 1 online resource (37 pages) : Availability: No items available:

11.
Bank and insurance capital management by De Weert, Frans. Publication: Chichester [England] ; | Hoboken, N.J. : Wiley, 2011 . xiii, 246 p. : Date: 2011 Availability: No items available:

12.
Value at risk and bank capital management by Saita, Francesco. Publication: Amsterdam ; | Boston : Elsevier Academic Press, 2007 . xvi, 259 p. : Date: 2007 Availability: No items available:

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