Ordenar por: Autor | Título | Año |
| 401 | 978-11-18651-30-8 | Libro |
Better banking : understanding and addressing the failures in risk management, governance and regulation / Adrian Docherty and Franck Viort.
Docherty, Adrian
West Sussex : Wiley, 2014.
|
Fondos |
|
| 402 | 978-1-118-72912-0 | Libro |
Treasury finance and development banking : a guide to credit, debt, and risk / Biagio Mazzi.
Mazzi, Biagio
Hoboken, New Jersey : John Wiley & Sons, cop. 2013.
|
Fondos |
|
| 403 | 9781782720140 (en línea) | Libro |
Systemic risk assessment and oversight [Recurso electrónico] / Jorge A. Chan-Lau.
Chan-Lau, Jorge A.
London : Risk Books, 2013.
https://www.risk.net/systemic-risk-assessment-and-oversight
|
Fondos |
|
| 404 | 978-3-593-39988-1 | Libro |
Systemic risk : the myth of rational finance and the crisis of democracy / Helmut Willke, Eva Becker, Carla Rostásy.
Willke, Helmut
Frankfurt : Campus, cop. 2013.
|
Fondos |
|
| 405 | 978-01-99544-49-3 | Libro |
Systemic risk : the dynamics of modern financial systems / Prasanna Gai.
Gai, Prasanna
Oxford, UK : Oxford University Press, 2013.
|
Fondos |
|
| 406 | 978-1-78272-008-9 (en papel) | Libro |
Stress testing [Recurso electrónico] : approaches, methods and applications / edited by Akhtar Siddique and Iftekhar Hasan.
Siddique, Akhtar (ed. lit.)
London : Risk Books, cop. 2013.
https://www.risk.net/stress-testing-approaches-methods-and-applications
|
Fondos |
|
| 407 | 978-02-30392-67-0 | Libro |
Strategy, value and risk : a guide to advanced financial management / Jamie Rogers.
Rogers, Jamie
Basingstoke : Palgrave, 2013, 3ª Ed.
|
Fondos |
|
| 408 |
|
Libro |
Spanish dynamic provisions [Recurso electrónico] : main numerical features / Carlos Trucharte and Jesús Saurina.
Trucharte, Carlos
En: Estabilidad Financiera / Banco de España [Artículos], nº 25, noviembre 2013, p. 9-47
https://repositorio.bde.es/handle/123456789/11452
|
|
|
| 409 | 978-1-902182-81-0 | Libro |
Sovereign investment : volatility, diversity, sustainability / edited by Donghyun Park.
Park, Donghyun (ed. lit.)
London : Central Banking Publications, cop. 2013.
|
Fondos |
|
| 410 |
|
Capitulo |
La solvencia de los bancos / José Manuel Gómez de Miguel.
Gómez de Miguel, José Manuel
En: Sistema bancario / Santiago Muñoz Machado, Juan Manuel Vega Serrano (directores) ; Mª José Bobes Sánchez (coordinadora). -- Madrid : Iustel, 2013. -- p. 523-597
|
Fondos |
|
| 411 | 987-1-4754-2295-5 | Libro |
Schweser FRM exam prep : Schweser Notes for the FRM exam. 2014. Part I / Kaplan University, School of professional and continuing education.
La Crosse, WI : Kaplan Schweser, cop. 2013. |
Fondos |
|
| 412 | 978-1-906348-80-9 | Libro |
Risk transparency : a practical guide to addressing the key questions / Sanjay Sharma.
Sharma, Sanjay
London : Risk Books, cop. 2013.
|
Fondos |
|
| 413 | 9780415508506 | Libro |
Risk, risk management and regulation in the banking industry : the risk to come / Peter Pelzer.
Pelzer, Peter
London : Routledge, 2013.
|
Fondos |
|
| 414 | 978-0-748670086 | Libro |
Risk management for islamic banks / Rania Abdelfattah Salem.
Salem, Rania Abdelfattah
Edinburgh : Edinburgh University Press, cop. 2013.
|
Fondos |
|
| 415 | 978-1-78272-038-6 | Libro |
Risk management for institutional investors : fulfilling fiduciary and strategic responsibilities / by Richard Horwitz and David Tyson.
Horwitz, Richard
London : Risk Books, cop. 2013.
|
Fondos |
|
| 416 | 978-0-415-50985-5 | Libro |
The risk in risk management : financial organizations & the problem of conformity / Gregory B. Vit.
Vit, Gregory B
New York : Routledge, 2013.
|
Fondos |
|
| 417 | 978-1-4094-5445-8 | Libro |
Predictable and avoidable : repairing economic dislocation and preventing the recurrence of crisis / Ivo Pezzuto.
Pezzuto, Ivo
Farnham, Surrey : Gower, cop. 2013.
|
Fondos |
|
| 418 | 978-1-4522-9027-0 | Libro |
A practical introduction to security and risk management / Bruce Newsome.
Newsome, Bruce
Los Angeles : Sage, cop. 2013.
|
Fondos |
|
| 419 | 978-1-107-04811-9 | Libro |
Portfolio management under stress : a Bayesian-net approach to coherent asset allocation / Riccardo Rebonato and Alexander Denev.
Rebonato, Riccardo
Cambridge : Cambridge University Press, 2013.
|
Fondos |
|
| 420 |
|
Artículo |
Operationalising a macroprudential regime [Recurso electrónico] : goals, tools and open issues / David Aikman, Andrew G. Haldane and Sujit Kapadia.
Aikman, David
En: Estabilidad Financiera / Banco de España [Artículos], n. 24, mayo 2013, p. 9-30
https://repositorio.bde.es/handle/123456789/11458
|
|
|
| 421 | 978-0-470-82765-9 | Libro |
Operational risk management / The Hong Kong Institute of Bankers.
Hong Kong Institute of Bankers
Singapore : John Wiley & Sons Singapore, 2013.
|
Fondos |
|
| 422 |
|
Artículo |
An online real estate valuation model for control risk taking : a spatial approach / B. Larraz and J. Población.
Larraz, Beatriz
En: Investment Analysts Journal [Artículos], v. 42, n. 78, 2013, p. 83-96
|
Fondos |
|
| 423 | 978-84-15581-49-9 | Libro |
Medición de riesgos de mercado y crédito / Roberto Knop Muszynski, Roland Ordovàs Miquel, Joan F. Vidal Villalón.
Knop, Roberto
Collado Villalba, Madrid : Delta, cop. 2013.
|
Fondos |
|
| 424 | 978-84-84684-78-7 | Libro |
Medición de riesgo de crédito. : desarrollo de una nueva herramienta / Álvaro Caballo Trebol.
Caballo Trebol, Álvaro
Madrid : Universidad Pontificia Comillas, cop. 2013.
|
Fondos |
|
| 425 |
|
Capitulo |
Measuring systemic risk / Jaime Caruana.
Caruana Lacorte, Jaime
En: Stability of the financial system : illusion or feasible concept? / edited by Andreas Dombret and Otto Lucius. -- Cheltenham : Edward Elgar, cop. 2013. -- p. 215-233
|
Fondos |
2013 Banco de España, Madrid, España. Reservados todos los derechos
Basado en Ex Libris (© 2009 Ex Libris)