Financial Institutions Management

Financial Institutions Management: A Risk Management Approach, 6 edition (repost)

Financial Institutions Management: A Risk Management Approach, 6 edition by Anthony Saunders, Marcia Millon Cornett
English | 2007 | ISBN: 0073405140, 0077211332 | 871 pages | PDF | 16 MB

Financial Institutions Management: A Risk Management Approach, 6 edition  eBooks & eLearning

Posted by interes at Nov. 18, 2014
Financial Institutions Management: A Risk Management Approach, 6 edition

Financial Institutions Management: A Risk Management Approach, 6 edition by Anthony Saunders, Marcia Millon Cornett
English | 2007 | ISBN: 0073405140, 0077211332 | 871 pages | PDF | 16 MB
The Risk Modeling Evaluation Handbook: Rethinking Financial Risk Management Methodologies in the Global Capital... (repost)

The Risk Modeling Evaluation Handbook: Rethinking Financial Risk Management Methodologies in the Global Capital Markets by Greg N. Gregoriou, Christian Hoppe, Carsten S. Wehn
English | 2010-01-22 | ISBN: 0071663703 | PDF | 528 pages | 3,3 MB

The Theory of Money and Financial Institutions: v. 2  eBooks & eLearning

Posted by MoneyRich at Oct. 26, 2016
The Theory of Money and Financial Institutions: v. 2

The Theory of Money and Financial Institutions: v. 2 by Martin Shubik
English | 5 Jan. 2000 | ISBN: 0262194287 | 386 Pages | PDF | 19 MB

This is the second volume in a three-volume exposition of Martin Shubik's vision of "mathematical institutional economics"–a term he coined in 1959 to describe the theoretical underpinnings needed for the construction of an economic dynamics. The goal is to develop a process-oriented theory of money and financial institutions that reconciles micro- and macroeconomics, using as a prime tool the theory of games in strategic and extensive form.

The Theory of Money and Financial Institutions: v. 1 (repost)  eBooks & eLearning

Posted by MoneyRich at Oct. 17, 2016
The Theory of Money and Financial Institutions: v. 1 (repost)

The Theory of Money and Financial Institutions: v. 1 by Martin Shubik
English | 5 Jan. 2000 | ISBN: 0262194279 | 474 Pages | PDF | 20 MB

These are the first two volumes in a three-volume exposition of Martin Shubik's vision of "mathematical institutional economics" - a term he coined in 1959 to describe the theoretical underpinnings needed for the construction of an economic dynamics. The goal is to develop a process-oriented theory of money and financial institutions that reconciles micro- and macroeconomics, using as a prime tool the theory of games in strategic and extensive form.

The Simple Rules of Risk: Revisiting the Art of Financial Risk Management (repost)  eBooks & eLearning

Posted by arundhati at Sept. 20, 2016
The Simple Rules of Risk: Revisiting the Art of Financial Risk Management (repost)

Erik Banks, "The Simple Rules of Risk: Revisiting the Art of Financial Risk Management"
2003 | ISBN: 0470847743 | 156 pages | PDF | 1 MB

Risk Management in Financial Institutions (repost)  eBooks & eLearning

Posted by interes at May 5, 2016
Risk Management in Financial Institutions (repost)

Risk Management in Financial Institutions by Shahin Shojai
English | 2013 | ISBN: 1781371687 | 340 pages | PDF | 3,3 MB
Risk Management At The Top: A Guide to Risk and its Governance in Financial Institutions

Risk Management At The Top: A Guide to Risk and its Governance in Financial Institutions by Mark Laycock
2014 | ISBN: 1118497422 | English | 336 pages | PDF | 16 MB
Value and Capital Management: A Handbook for the Finance and Risk Functions of Financial Institutions (Repost)

Value and Capital Management: A Handbook for the Finance and Risk Functions of Financial Institutions By Thomas C. Wilson
2015 | 720 Pages | ISBN: 1118774639 | PDF | 41 MB

Financial Risk Management For Dummies  eBooks & eLearning

Posted by Grev27 at Jan. 18, 2016
Financial Risk Management For Dummies

Aaron Brown, "Financial Risk Management For Dummies"
English | ISBN: 111908220X | 2015 | EPUB | 384 pages | 1,4 MB