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P658.155 (21) answer(s).
 
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1
ID:   010941


Case Studies on Managing in Troubled Times / Chaudhari, Sumit Kumar Ed. 2007  Book
Chaudhari, Sumit Kumar Ed. Book
0 Rating(s) & 0 Review(s)
Publication Hyderabad, ICFAI Books, 2007.
Description v,274p.
Standard Number 81-314-0319-X
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015050658.155/CHA 015050MainOn ShelfText 
2
ID:   009849


Corporate Financial Risk Management: computer-based guide for nonspecialists / Nersesian, Roy L 2008  Book
Nersesian, Roy L Book
0 Rating(s) & 0 Review(s)
Publication Mumbai, Jaico Publishing House, 2008.
Description xii,234p.
Standard Number 978-81-7992-927-8
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013553658.155/NER/013553MainOn ShelfText 
3
ID:   013184


Derivatives and Risk Management / Janakiramanan, Sundaram 2011  Book
Janakiramanan, Sundaram Book
0 Rating(s) & 0 Review(s)
Edition 1st Ed.
Publication New Delhi, Dorling Kindersley (India) Pvt. Ltd.(Pearson Education),
Description xxi, 513p
Standard Number 978-81-317-5514-3
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Accession#Call#Current LocationStatusPolicyLocation
017389658.155/JAN 017389MainOn ShelfText 
4
ID:   008680


Estimating Risk: management approach / Garlick, Andy 2007  Book
Garlick, Andy Book
0 Rating(s) & 0 Review(s)
Publication England, Gower Publishing Ltd., 2007.
Description xviii,240p.
Standard Number 978-0-566-08776-9
Key Words Risk Management 
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012373658.155/GAR/012373MainOn ShelfText 
5
ID:   015281


Financial Risk Manager Handbook / Jorion, Philippe 2014  Book
Jorion, Philippe Book
0 Rating(s) & 0 Review(s)
Edition 6th Ed.
Publication New Jersy, Wiley, 2014.
Description xvi,798p.
Standard Number 978-81-265-4408-0
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019416658.155/JOR 019416MainOn ShelfText 
6
ID:   014490


Fixed income securities: Valuation, Risk, and Risk Management / Veronesi, Pietro 2012  Book
Veronesi, Pietro Book
0 Rating(s) & 0 Review(s)
Publication New Delhi, John Wiley, 2012.
Description xxxiii, 805p.
Standard Number 978-81-265-3171-4
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018873658.155/VER 018873MainOn ShelfText 
7
ID:   012527


Fundamentals of Risk Management: Understanding evaluating and implementing effective risk management / Hopkin, Paul 2010  Book
Hopkin, Paul Book
0 Rating(s) & 0 Review(s)
Edition 1 st ed
Publication london, Kogan Page, 2010.
Description xxv,357p
Standard Number 978-0-71945942-0
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Accession#Call#Current LocationStatusPolicyLocationIssuedToDueOn
016746658.155/HOP/016746MainIssuedGeneral 0003602-Jul-2012
8
ID:   012585


Global Risk and Global Opportunity: Ten Essential Tools for Tracking Minds, Markets & Money / Maital, Shlomo; Seshadri, D V R 2010  Book
Seshadri, D V R Book
0 Rating(s) & 0 Review(s)
Edition 1 st edition
Publication India, Responce Books, 2010.
Description 361p
Standard Number 978-81-321-0443-8
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Accession#Call#Current LocationStatusPolicyLocation
016812658.15/MAI/016812MainOn ShelfText 
9
ID:   009061


Growth and Profitability: optimizing the finance function for small and emerging businesses / Donegan, Michael C 2002  Book
Donegan, Michael C Book
0 Rating(s) & 0 Review(s)
Publication New Jersey, John Wiley & Sons, 2002.
Description xiii,258p.
Standard Number 0-471-21216-4
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Accession#Call#Current LocationStatusPolicyLocation
003571658.155/DON/003571MainOn ShelfText 
10
ID:   011794


Harvard Business Review on Managing External Risk / Harvard Business Review 2009  Book
Harvard Business Review Book
0 Rating(s) & 0 Review(s)
Publication Boston, Harvard Business School Publishing, 2009.
Description vii,218p.
Standard Number 978-1-4221-3844-1
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Accession#Call#Current LocationStatusPolicyLocation
016153658.155/HBR 016153MainOn ShelfGeneral 
11
ID:   008738


Management Risk in Extreme Environments: front-line business lessons for corporates and financial institutions / Martin, Duncan 2008  Book
Martin, Duncan Book
0 Rating(s) & 0 Review(s)
Publication london, Kogan Page, 2008.
Description ix,181p.
Standard Number 0-7494-5379-6
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Accession#Call#Current LocationStatusPolicyLocation
012509658.155/MAR/012509MainOn ShelfText 
012510658.155/MAR/012510MainOn ShelfText 
12
ID:   008492


Managing Risk in Extreme Environments: fornt-line business lessons for corporates and financial institutions / Martin, Duncan 2008  Book
Martin, Duncan Book
0 Rating(s) & 0 Review(s)
Publication london, Kogan Page Ltd, 2008.
Description ix,181p.
Standard Number 0-7494-5379-6
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Accession#Call#Current LocationStatusPolicyLocation
011940658.155/MAR/011940MainOn ShelfText 
13
ID:   011624


New Payment World: managers guide to creating an efficient payment process / Schaeffer, Mary S 2007  Book
Schaeffer, Mary S Book
0 Rating(s) & 0 Review(s)
Publication New Jersey, John Wiley and Sons Inc., 2007.
Description xv,192p.
Standard Number 978-0-470-12054-5
Key Words Electronic Fund Transfers  Payment  Checks  Clearing House  Check Fund 
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015740658.155/SCH 015740MainOn ShelfText 
14
ID:   014474


Risk Management & Financial Institution / Hull, John C. 2013  Book
Hull, John C. Book
0 Rating(s) & 0 Review(s)
Edition 3rd Ed.
Publication New Delhi, John Wiley & Sons, 2013.
Description xxi, 643p.
Standard Number 978-81-265-3634-4
Key Words Risk Management  Banks  Insurance Companies  Value at risk 
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018889658.155/HUL 018889MainOn ShelfText 
15
ID:   013182


Risk Management and Financial Institutions / Hull, John C. 2011  Book
Hull, John C. Book
0 Rating(s) & 0 Review(s)
Edition 2nd Ed.
Publication Dorling Kindersley (India) Pvt. Ltd.(Pearson Education), 2011.
Description xvii, 556p
Standard Number 978-81-317-6103-8
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Accession#Call#Current LocationStatusPolicyLocation
017387658.155/HUL 017387MainOn ShelfText 
16
ID:   016190


Risk management and financial institutions / Hull, John C 2017  Book
Hull, John C Book
0 Rating(s) & 0 Review(s)
Edition 4th ed.
Publication New Jersey, Wiley, 2017.
Description xxv, 714p.
Standard Number 978-81-265-6061-5
Key Words Risk Management  Banks  Insurance Companies  Value of risk 
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Accession#Call#Current LocationStatusPolicyLocation
020540658.155/HUL 020540MainOn ShelfText 
17
ID:   013207


Securitisation: Primer / Chowdhury, Arnab 2011  Book
Chowdhury, Arnab Book
0 Rating(s) & 0 Review(s)
Publication New Delhi, Tata McGraaw-Hill Education Priviate Lemited, 2011.
Description xv, 259p
Standard Number 978-0-07-068082-1
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017400658.155/CHO 017400MainOn ShelfText 
18
ID:   013256


Strategic Risk Management: How to Deal Effectively with Major Corporate Exposures / Andersen, Torben Juul; Schroder, Peter Winther 2011  Book
Andersen, Torben Juul Book
0 Rating(s) & 0 Review(s)
Publication Cambridge, Cambridge University Press, 2011.
Description xvii,245p
Standard Number 9781107601901
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017467658.155/AND 017467MainOn ShelfText 
19
ID:   011041


Theory of Financial Risk and Derivative Pricing: form statistical physics to risk management / Bouchaud, Jean-Philippe; Potters, Marc 2009  Book
Bouchaud, Jean-Philippe Book
0 Rating(s) & 0 Review(s)
Edition 2nd ed.
Publication Cambridge, Cambridge University Press, 2009.
Description xx,379p.
Standard Number 978-0-521-74186-6
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Accession#Call#Current LocationStatusPolicyLocation
015154658.155/BOU 015154MainOn ShelfText 
20
ID:   011187


Theory of Financial Risk and Derivative Pricing: form statistical physics to risk management / Bouchaud, Jean-Philippe; Potters, Marc 2003  Book
Bouchaud, Jean-Philippe Book
0 Rating(s) & 0 Review(s)
Edition 2nd ed.
Publication New York, Cambridge University Press, 2003.
Description xx,379p.
Standard Number 978-0-521-74186-6
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Accession#Call#Current LocationStatusPolicyLocation
015899658.155/BOU 015899MainOn ShelfText 
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