MANAGING BANKING RISK: A FRAMEWORK FOR ASSESSING CORPORATE GOVERNANCE AND FINANCIAL RISK:
Material type: TextPublication details: JAICO PUBLICATIONS MUMBAI 2008Description: 367ISBN:- 978-81-7992-939-1
- 11166 658.155
- 2371
Item type | Current library | Call number | Status | Date due | Barcode | Item holds | |
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Book | Main Library | 658.155 / BRA / 11166 (Browse shelf(Opens below)) | Available | 11111166 |
Total holds: 0
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658.155 / ASW / 8395 STRATEGIC RISK TAKING:A FRAMEWORK FOR MANAGEMENT | 658.155 / BAG / 11165 OPERATIONAL RISK MANAGEMENT: | 658.155 / BOU / 12746 THEORY OF FINANCIAL RISK AND DERIVATIVE PRICING:FROM STATISTICAL PHYSICS TO RISK MANAGEMENT | 658.155 / BRA / 11166 MANAGING BANKING RISK: A FRAMEWORK FOR ASSESSING CORPORATE GOVERNANCE AND FINANCIAL RISK: | 658.155 / BRE / 3873 FINANCING AND RISK MANAGEMENT: | 658.155 / BRI / 8689 INTRODUCTION TO INTEREST-RATE RISK:INTEREST-RATE RISK MANAGEMENT | 658.155 / CHA / 8676 MERGERS AND ACQUSITIONS CORPORATE FINANCE: |
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