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1.
Scandizzo, Sergio Risk and Governance
London : Risk books, 2017. 270 p.
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2.
Tail Risk Hedging
United Kingdom : Risk Books, 2014. 304 p.
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3.
Wilkin, Sam Country and Political Risk
London : Risk Books, 2015. 379 lpp.
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4.
Ong, Michael K. Internal Credit Risk Models: Capital Allocation and Performance Measurement
London : Risk Books, 2005. 364 p.
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5.
Horwitz, Richard Risk Management for Institutional Investors
London : Risk books, 2013. 229 p.
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6.
Scandizzo, Sergio Risk and Governance: A Framework for Banking Organisations
London : Risk books, 2013. 207 p.
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7.
Galizia, Federico Managing Systemic Exposure
London : Risk Books, 2013. 270 p.
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8.
Chan-Lau, Jorge A. Systemic Risk Assessment and Oversight
London : Risk books, 2013. 322 p.
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9.
Miu, Peter Adapting to Basel III and the Financial Crisis
London : Risk Books, 2012. 295 p.
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10.
Ong, Michael K. Managing and Measuring Capital for Banks and Financial Institutions
London : Risk Books, 2012. 538 p.
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