Incoming Resources
- Valuation and risk management in energy markets, Glen Swindle
- Investment risk management, H. Kent Baker and Greg Filbeck
- Illusion of control, why financial crises happen, and what we can and can't do about it, Jon Danielsson
- Applied corporate risk and liquidity management, Erik Lie
- Extreme financial risks and asset allocation, Olivier Le Courtois, Christian Walter
- La finance de l'ombre a pris le contrôle, Myret Zaki, Dominique Morisod
- Risk and return for regulated industries, Bente Villadsen, Michael J. Vilbert, Dan Harris, Lawrence Kolbe
- Risk in international finance, Vikash Yadav
- What is systemic risk and what can be done about it?, a legal perspective, Joanna Gray
- Investment risk management, edited by H. Kent Baker and Greg Filbeck
- Innovation in financial services, a dual ambiguity, edited by Anne-Laure Mention and Marko Torkkeli
- Red-blooded risk, the secret history of wall street, Aaron Brown
- Financial return risk and the effect on shareholder wealth, how M&A announcements and banking crisis events affect stock mean returns and stock return risk. A compendium of five empirical studies across selective industries, Malte Helmut Raudszus
- Managing risk and uncertainty, a strategic approach, Richard Friberg
- Essays on the economics of firms and of financial institutions, Matteo Gatti
- Risk and liquidity, Hyun Song Shin
- Uncontrolled risk, the lessons of Lehman Brothers and how systemic risk can still bring down the world financial system, Mark T. Williams
- Handbook on systemic risk, edited by Jean-Pierre Fouque, Joseph A. Langsam
- When prime brokers fail, the unheeded risk to hedge funds, banks, and the financial industry, J.S. Aikman
- Credit securitizations and derivatives, challenges for the global markets, edited by Daniel Rösch, Harald Scheule
- Valuation and risk management in energy markets, Glen Swindle, Founder Scoville Risk Partners LLC