Currency Risk Management

Currency Risk Management: A Handbook for Financial Managers, Brokers, and Their Consultants (repost)

Gary Shoup, "Currency Risk Management: A Handbook for Financial Managers, Brokers, and Their Consultants"
AM..COM | 1998 | ISBN: 0814404391 | 247 pages | epub | 0,8 MB
Currency Risk Management: A Handbook for Financial Managers, Brokers, and Their Consultants

Gary Shoup, "Currency Risk Management: A Handbook for Financial Managers, Brokers, and Their Consultants"
AM..COM | 1998 | ISBN: 0814404391 | 247 pages | epub | 0,8 MB
Exposure Management 2.0 in SAP Treasury and Risk Management (SAP PRESS E-Bites Book 6)

Exposure Management 2.0 in SAP Treasury and Risk Management (SAP PRESS E-Bites Book 6) by Rudolf Bryša
English | 20 July 2016 | ASIN: B01ITSWAHA | 74 Pages | AZW3/MOBI/EPUB/PDF (conv) | 11.58 MB

Want to manage and model currency and commodity risks in SAP, but aren't sure where to start? In this e-book from the leading SAP publisher, learn the basics of SAP Treasury and Risk Management's Exposure Management tool and discover how data from SAP ERP MM and SD can be integrated into Exposure Management 2.0.

VTC - PMI Risk Management Professional (Part 3)  

Posted by Eksnatdor at Oct. 7, 2009
VTC - PMI Risk Management Professional (Part 3)

VTC - PMI Risk Management Professional (Part 3) | 340 MB

Enhance your project risk management skills or prepare for the PMI Risk Management Professional (PMI-RMP®) certification exam with this comprehensive course. This course is the final part of a three part series meant to provide you with a thorough review of the materials necessary to prepare for the PMI-RMP® exam and sets out to build a solid foundation of project risk management. Specifically, you will enhance your knowledge in the following areas: risk response strategies, risk monitoring and control, and risk closure. In addition, this course includes over 150 exam practice questions across all exam domains. To begin learning PMI: Risk Management Professional (Part 3) today, simply click on the movie links.
Realising the 'Triple Dividend of Resilience': A New Business Case for Disaster Risk Management

Realising the 'Triple Dividend of Resilience': A New Business Case for Disaster Risk Management
Springer | Economics | December 29, 2016 | ISBN-10: 3319406930 | 176 pages | pdf | 3.23 mb

Editors: Surminski, Swenja, Tanner, Thomas (Eds.)
Brings together different disciplines, and offers assessment from a variety of angles and at various scales, supported by a set of country case studies to provide empirical examples, and identify knowledge gaps
Extends the resilience dividend concept by specifically focussing on those aspects that are generally not accounted for and not considered when making investment decisions
Written by leading academics, but for a broader audience, focusing on advice and guidance for decision-makers, while venturing into a new research territory

Asset & Risk Management (repost)  eBooks & eLearning

Posted by Willson at Nov. 30, 2016
Asset & Risk Management (repost)

Louis Esch, Robert Kieffer, Thierry Lopez, "Asset & Risk Management"
English | 2005 | ISBN: 0471491446 | 424 pages | PDF | 2.3 MB

Framework for Chemical Risk Management Under Reach  eBooks & eLearning

Posted by tanas.olesya at Nov. 27, 2016
Framework for Chemical Risk Management Under Reach

Framework for Chemical Risk Management Under Reach by Steffen Erler
English | 13 Oct. 2009 | ISBN: 1847354009, 1847354017 | 434 Pages | PDF | 1 MB

Since 2008, the EU system for the Registration, Evaluation and Authorization of Chemicals (REACH) has begun impacting companies across the world.

Risk Management in Public Administration  eBooks & eLearning

Posted by arundhati at Nov. 26, 2016
Risk Management in Public Administration

Konrad Raczkowski, "Risk Management in Public Administration"
2016 | ISBN-10: 3319308769 | 448 pages | PDF | 9 MB

Scenario Analysis in Risk Management: Theory and Practice in Finance  eBooks & eLearning

Posted by interes at Nov. 20, 2016
Scenario Analysis in Risk Management: Theory and Practice in Finance

Scenario Analysis in Risk Management: Theory and Practice in Finance by Bertrand Hassani
English | 2016 | ISBN: 331925054X | 162 pages | PDF | 4 MB

Coursera - Information Security and Risk Management in Context [repost]  eBooks & eLearning

Posted by ParRus at Nov. 20, 2016
Coursera - Information Security and Risk Management in Context [repost]

Coursera - Information Security and Risk Management in Context
University of Washington with Barbara Endicott-Popovsky

WEBRip | English | MP4 | 960 x 540 | AVC ~456 kbps | 29.970 fps
AAC | 128 Kbps | 44.1 KHz | 2 channels | Subs: English (.srt) | 16:43:29 | 2.54 GB
Genre: eLearning Video / Information Technology, Security

Explore the latest techniques for securing information and its systems, from policies and procedures to technologies and audit. Learn from leading experts who share proven practices in areas such as mobile workforce safety, security metrics, electronic evidence oversight and coping with e-crime and e-discovery. Study the protection of Cloud computing information. Discover how to foster the development of future information security leaders.