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34 books found   ►also search"liquidity risk" in ,
ID Author(s) Title Publisher Year Pages Language Size Extension GET
1370037 Moorad Choudhry, Oldrich Masek An Introduction to Banking: Liquidity Risk and Asset-Liability Management [1 ed.]
0470687258, 9780470687253
Wiley 2011 384 English 4 Mb pdf GET
554197 Alastair Graham Cashflow Forecasting and Liquidity (Risk Management Series) [1 Ed]
0814405401, 9780814405406, 9780814425039
2000 156 English 308 kb chm GET
997360 Tomasz R. Bielecki, Damiano Brigo, Federic Patras(auth.) Credit Risk Frontiers: Subprime Crisis, Pricing and Hedging, CVA, MBS, Ratings, and Liquidity
9781576603581, 9781118531839
2011 747 English 6 Mb pdf GET
759288 Tomasz Bielecki, Damiano Brigo, Frédéric Patras Credit Risk Frontiers: Subprime Crisis, Pricing and Hedging, CVA, MBS, Ratings, and Liquidity (Bloomberg Financial) [1 ed.]
157660358X, 978-1-57660-358-1, 9780470879238, 978-1-11800-382-4, 978-1-11800-383-1, 1118003829, 1118003837, 0470879238, 9781118531839, 1118531833
Bloomberg Press 2011 768 English 10 Mb pdf GET
258304 Barry Goss Routledge International Studies in Money and Banking
Debt, Risk and Liquidity in Futures Markets [1 ed.]
9780203940150, 9780415400015, 0415400015
Routledge 2007 231 English 1 Mb pdf GET
1202008 Eric D Cruikshank, Eric D Cruikshank Distressed Financial Markets:Navigating the Shoals of Liquidity Risk [1st ed.]
1843745437, 9781843745433
Euromoney Institutional Investor 2008 248 English 856 kb pdf GET
1247776 Giott, Gramming How Large Is Liquidity Risk In An Automated 2002 35 English 170 kb djvu GET
227450 Dimitris N. Chorafas Liabilities, Liquidity, and Cash Management: Balancing Financial Risks
9780471106302, 0471106305
Wiley 2001 336 English 3 Mb pdf GET
428351 Dimitris N. Chorafas Liabilities, Liquidity, and Cash Management: Balancing Financial Risks [1 ed.]
0471106305, 9780471106302, 9780471269366
2001 336 English 2 Mb pdf GET
583812 Dimitris N. Chorafas Liabilities, Liquidity, and Cash Management: Balancing Financial Risks [1 ed.]
0471106305, 9780471106302, 9780471269366
2001 336 English 2 Mb pdf GET
1321639 Aldo Soprano The Wiley Finance Series
Liquidity Management: A Funding Risk Handbook [1 ed.]
1118413997, 9781118413999
Wiley 2015 208 English 2 Mb pdf GET
1183470 Robert Fiedler Liquidity Modelling
1906348464, 9781906348465
Risk Books 2012 382 English 3 Mb pdf GET
67072 Tobin J. Liquidity Preference as Behavior Towards Risk 1958 25 English 969 kb pdf GET
981167 Roberto Ruozi, Pierpaolo Ferrari (auth.) SpringerBriefs in Finance
Liquidity Risk Management in Banks: Economic and Regulatory Issues [1 ed.]
978-3-642-29580-5, 978-3-642-29581-2
Springer-Verlag Berlin Heidelberg 2013 54 English 567 kb pdf GET
1535708 Shyam Venkat, Stephen Baird Wiley Finance
Liquidity Risk Management: A Practitioner’s Perspective [1 ed.]
1118881923, 9781118881927
Wiley 2016 304 English 4 Mb pdf GET
999738 Liquidity Risk Measurement and Management: A practitioner's guide to global best practices
9780470821824, 9781118390399
2006 394 English 4 Mb pdf GET
1154678 Leonard Matz, Peter Neu Wiley Finance
Liquidity Risk Measurement and Management: A Practitioner's Guide to Global Best Practices [1 ed.]
0-470-82182-5, 978-0-470-82182-4
Wiley 2006 350 English 4 Mb pdf GET
1580125 Santiago Carbó Valverde, Pedro Jesús Cuadros Solas, Francisco Rodríguez Fernández (eds.) Palgrave Macmillan Studies in Banking and Financial Institutions
Liquidity Risk, Efficiency and New Bank Business Models [1 ed.]
978-3-319-30818-0, 978-3-319-30819-7
Palgrave Macmillan 2016 XXI, 305 English 6 Mb pdf GET
288524 Erik Banks Finance and Capital Markets Series
Liquidity Risk: Managing Asset and Funding Risks
1403933995, 9781403933997, 9780230508118
Palgrave Macmillan 2005 253 English 948 kb pdf GET
343821 Erik Banks Finance and Capital Markets Series
Liquidity Risk: Managing Asset and Funding Risks [illustrated edition]
1403933995, 9781403933997
Palgrave Macmillan 2005 253 English 1 Mb pdf GET
1457342 Erik Banks (auth.) Finance and Capital Markets Series
Liquidity Risk: Managing Asset and Funding Risks
978-1-349-51700-8, 978-0-230-50811-8, 201-202-202-2
Palgrave Macmillan UK 2005 English 1 Mb pdf GET
1678897 Erik Banks (auth.) Finance and Capital Markets Series
Liquidity Risk: Managing Asset and Funding Risks [1 ed.]
978-1-349-51700-8, 978-0-230-50811-8, 201-202-202-2
Palgrave Macmillan UK 2005 XXI, 230 English 1 Mb pdf GET
1480109 Erik Banks (auth.) Global Financial Markets Series
Liquidity Risk: Managing Funding and Asset Risk
978-1-349-47692-3, 978-1-137-37440-0, 178-179-182-1, 227-227-231-2
Palgrave Macmillan UK 2014 English 4 Mb pdf GET
1284066 Alexander Sokol Long-Term Portfolio Simulation: For XVA, Limits, Liquidity and Regulatory Capital Risk Books 2014 258 English 4 Mb mobi GET
1314892 Iwan J. Azis, Hyun Song Shin (auth.) Managing Elevated Risk: Global Liquidity, Capital Flows, and Macroprudential Policy—An Asian Perspective [1 ed.]
978-981-287-283-8, 978-981-287-284-5
Springer-Verlag Singapur 2015 124 English 6 Mb pdf GET
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