Risk Management

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  1. Credit Risk Measurement and Management

    By Amnon Levy and Jing Zhang

    £145.00
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  2. Model Risk

    By Daniel Rösch and Harald Scheule

    £125.00
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  3. Operational Risk Perspectives

    By D.R. Maurice and Jitendra Rathod

    £145.00
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  4. Operational Risk

    By Ellen Davis

    £145.00
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  5. Operational Risk Capital Models

    By Rafael Cavestany, Brenda Boultwood and Laureano F. Escudero

    £145.00
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  6. Non-traditional Life Insurance Products with Guarantees

    By Tigran Kalberer and Kannoo Ravindran

    £145.00
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  7. Network Theory and Financial Risk

    By Kimmo Soramäki and Samantha Cook

    £145.00
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  8. Post-Crisis Quant Finance

    By Mauro Cesa

    £145.00
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  9. Modern Portfolio Management

    By Paolo Sironi

    £145.00
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  10. MiFID II: Value-Generation for Investors

    By Paolo Sironi and Maurizio Ravezzi

    £65.00
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  11. High-Frequency Trading

    By David Easley, Marcos López de Prado and Maureen O’Hara

    £70.00
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