Incoming Resources
- Risk Management Competency Development in Banks, An Integrated Approach, by Eric H.Y. Koh
- Operational risk modelling and management, Claudio Franzetti
- Counter-Terrorism Technologies, A Critical Assessment, by Peter Lehr
- Capital Markets and Investment Decision Making, by Raj S. Dhankar
- Personal Financial Planning for Executives and Entrepreneurs, The Path to Financial Peace of Mind, by Michael J. Nathanson, Jeffrey T. Craig, Jennifer A. Geoghegan, Nadine Gordon Lee, Michael A. Haber, Max B. Haspel, Seth P. Hieken, Matthew C. Ilteris, D. Scott McDonald, Joseph A. Salvati, Stephen R. Stelljes
- Governance, risk, and compliance handbook, technology, finance, environmental, and international guidance and best practices, edited by Anthony Tarantino
- Simulating security returns, a filtered historical simulation approach, [edited by] Giovanni Barone Adesi
- Insurance Transformed, Technological Disruption, by Michael Naylor
- Asset Management and Institutional Investors, edited by Ignazio Basile, Pierpaolo Ferrari
- Shareholder value in banking, Franco Fiordelisi and Philip Molyneux
- Bankruptcy, credit risk, and high yield junk bonds, Edward I. Altman
- The foundations of credit risk analysis, edited by Willi Semmler and Lucas Bernard
- Improving Anti-Money Laundering Compliance, Self-Protecting Theory and Money Laundering Reporting Officers, by Abdullahi Usman Bello
- Stress testing, approaches, methods and applications, edited by Akhtar Siddique and Iftekhar Hasan
- Alternative (Re)insurance strategies, edited by Morton Lane
- Options Installment Strategies, Long-Term Spreads for Profiting from Time Decay, by Michael C. Thomsett
- Value at risk, the new benchmark for controlling market risk, Philippe Jorion
- Sustainable financial innovations, editor Karen Wendt
- Measuring and Managing Operational Risk, An Integrated Approach, edited by Paola Leone, Pasqualina Porretta, Mario Vellella
- Risk Management in Outer Space Activities, An Australian and New Zealand Perspective, edited by Maria A. Pozza, Joel A. Dennerley
- The Venture Capital Deformation, Value Destruction throughout the Investment Process, by Darek Klonowski
- Understanding credit derivatives and related instruments, Antulio N. Bomfim
- New Methods in Fixed Income Modeling, Fixed Income Modeling, edited by Mehdi Mili, Reyes Samaniego Medina, Filippo di Pietro
- Strategic risk management practice, how to deal effectively with major corporate exposures, Torben Juul Andersen and Peter Winther Schrøder
- Risk governance, coping with uncertainty in a complex world, Ortwin Renn
- Contemporary Issues in Banking, Regulation, Governance and Performance, edited by Myriam García-Olalla, Judith Clifton
- Model risk in financial markets, from financial engineering to risk management, Radu Tunaru (University of Kent, UK)
- Sustainability in Bank and Corporate Business Models, The Link between ESG Risk Assessment and Corporate Sustainability, by Magdalena Ziolo, Beata Zofia Filipiak, Blanka Tundys
- The last mile in ending extreme poverty, Laurence Chandy, Hiroshi Kato, Homi Kharas, editors
- Modelling German Covered Bonds, by Manuela Spangler
- Real Options Illustrated, by Linda Peters
- Risk analysis in finance and insurance, Alexander Melnikov ; translated and edited by Alexei Filinkov
- The Handbook of Global Shadow Banking, Volume I, From Policy to Regulation, by Luc Nijs
- Risk management, foundations for a changing financial world, Walter V. "Bud" Haslett, Jr., editor
- The international risk-sharing puzzle is at business cycle and lower frequency, Giancarlo Corsetti, Luca Dedola and Francesca Viani
- The Handbook of Global Shadow Banking, Volume II, The Future of Economic and Regulatory Dynamics, by Luc Nijs
- Defining and Measuring Economic Resilience from a Societal, Environmental and Security Perspective, by Adam Rose
- Post-crisis risk management, bracing for the next perfect storm, Tsuyoshi Oyama
- Governance, Risk and Financial Impact of Mega Disasters, Lessons from Japan, edited by Akiko Kamesaka, Franz Waldenberger
- Climate change adaptation, disaster risk reduction and social protection, complementary roles in agriculture and rural growth?, Mark Davies ... [and others]
- Safety Risk Management, Integrating Economic and Safety Perspectives, edited by Kurt J. Engemann, Eirik B. Abrahamsen
- Asset Management, Portfolio Construction, Performance and Returns, edited by Stephen Satchell
- Exotic derivatives and risk, theory, extensions and applications, Mondher Bellalah
- Risk maturity models, how to assess risk management effectiveness, Domenic Antonucci
- The number that killed us, a story of modern banking, flawed mathematics, and a big financial crisis, Pablo Triana
- Financial times handbook of financial engineering, using derivatives to manage risk, Lawrence Galitz
- The psychology of risk, Glynis M. Breakwell
- The psychology of risk, Glynis M. Breakwell
- Economics for an imperfect world, essays in honor of Joseph E. Stiglitz, edited by Richard Arnott ... [and others]
- A History of Digital Currency in the United States, New Technology in an Unregulated Market, by P. Carl Mullan