Unsecured Ladders : Meeting the Challenge of the Unexpected
G. Robinson
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New Loss Prevention : Redefining Shrinkage Management
A. Beck
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Central Bank Reserves and Sovereign Wealth Management
A. Berkelaar
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The Fear Factor : What Happens When Fear Grips Wall Street
C. Read
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Globalization and the Reform of the International Banking and Monetary System
O. Hieronymi
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Managing High-Stakes Risk : Toward a New Economics for Survival
M. Jablonowski
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Interest Rate Models, Asset Allocation and Quantitative Techniques for Central Banks and Sovereign Wealth Funds
A. Berkelaar
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Consolidation in the European Financial Industry
R. Bottiglia
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The Management of Consumer Credit : Theory and Practice
S. Finlay
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The Five Futures Glasses : How to See and Understand More of the Future with the Eltville Model
P. Micic
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Risk Dilemmas : Forced Choices and Survival
M. Jablonowski
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Financial Econometrics Modeling: Market Microstructure, Factor Models and Financial Risk Measures
G. Gregoriou
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China After the Subprime Crisis : Opportunities in The New Economic Landscape
C. Lo
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Credit Scoring, Response Modelling and Insurance Rating : A Practical Guide to Forecasting Consumer Behaviour
S. Finlay
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Risk Tolerance in Financial Decision Making
C. Lucarelli
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Sovereign Debt Crisis : The New Normal and the Newly Poor
D. Chorafas
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Credit Treasury : A Credit Pricing Guide in Liquid and Non-Liquid Markets
G. Oricchio
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Investment Beliefs : A Positive Approach to Institutional Investing
K. Koedijk
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Minding the Markets : An Emotional Finance View of Financial Instability
D. Tuckett
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Bank Strategy, Governance and Ratings
P. Molyneux
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Bank Performance, Risk and Firm Financing
P. Molyneux
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Forecasting, Warning and Responding to Transnational Risks
Kenneth A. Loparo
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