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Found 27 from your keywords: subject="Risk Management"
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cover
Software development failures :anatomy of abandoned projects
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Ewusi-Mensah, Kweku.

Failed or abandoned software development projects cost the U.S. economy alone billions of dollars a year. In Software Development Failures, Kweku Ewusi-Mensah offers an empirically grounded study that suggests why these failures happen and how they can be avoided. Case studies analyzed include the well-known Confirm travel industry reservation program, FoxMeyer's Delta, the IRS's Tax System Mod…

Edition
-
ISBN/ISSN
9780262256087
Collation
1 online resource (xiv, 276 pages)
Series Title
-
Call Number
-
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cover
Effective Entrepreneurial Management
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Robert D. Hisrich

This textbook provides a comprehensive overview of the essential issues in effective entrepreneurial management. It first introduces readers to the fundamentals of entrepreneurial management, the nature of entrepreneurial managers and business planning, before exploring the specific topics of creativity and innovation, risk management, entrepreneurial marketing and organization as well as finan…

Edition
1
ISBN/ISSN
978-3-319-50467-4
Collation
Business Management
Series Title
-
Call Number
650
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cover
Bank Risk, Governance and Regulation
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Elena Beccalli

This book presents research from leading researchers in the European banking field to explore three key areas of banking. In Bank Risk, Governance and Regulation, the authors conduct micro- and macro- level analysis of banking risks and their determinants. They explore areas such as credit quality, bank provisioning, deposit guarantee schemes, corporate governance and cost of capital. The book …

Edition
1
ISBN/ISSN
978-1-137-53094-3
Collation
Banking
Series Title
-
Call Number
332
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cover
Valuing Banks A New Corporate Finance Approach
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BELTRAME, FedericoPREVITALI, Daniele

This book aims to overcome the limitations the variations in bank-specifics impose by providing a bank-specific valuation theoretical framework and a new asset-side model. The book includes also a constructive comparison of equity and asset side methods. The authors present a novel framework entitled, the “Asset Mark-down Model”. This method incorporates an Adjusted Present Value model, whi…

Edition
-
ISBN/ISSN
978-1-137-56142-8
Collation
-
Series Title
-
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-
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cover
Asset Management and Institutional Investors
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BASILE, IgnazioFERRARI, Pierpaolo

This book analyses investment management policies for institutional investors. It is composed of four parts. The first one analyses the various types of institutional investors, institutions which, with different objectives, professionally manage portfolios of financial and real assets on behalf of a wide variety of individuals. This part goes on with an in-depth analysis of the economic, techn…

Edition
Ed. 1
ISBN/ISSN
978-3-319-32796-9
Collation
XIII, 468
Series Title
-
Call Number
658.155 ASS a
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cover
Asset Management: Portfolio Construction, Performance and Returns
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Satchell, Stephen

This book presents a series of contributions on key issues in the decision-making behind the management of financial assets. It provides insight into topics such as quantitative and traditional portfolio construction, performance clustering and incentives in the UK pension fund industry, pension fund governance, indexation, and tracking errors. Markets covered include major European markets, eq…

Edition
Ed. 1
ISBN/ISSN
978-3-319-30794-7
Collation
XIX, 369
Series Title
-
Call Number
658.155 ASS a
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cover
The International Handbook of Shipping Finance
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Manolis G. KavussanosIlias D. Visvikis

Edited by two leading academics in this area, and with contributions from 25 prominent market practitioners and academics over 16 chapters, this Handbook covers shipping finance and banking, maritime financial management and investments. As such, it includes: shipping markets; asset backed finance; shipbuilding finance; debt finance; public and private equity and debt markets; structured financ…

Edition
1
ISBN/ISSN
978-1-137-46546-7
Collation
XLII, 430, 20 b/w illustrations, 86 illustrations in colour
Series Title
The International Handbook of Shipping Finance
Call Number
-
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cover
The New Frontier Investors
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BACHHER, Jagdeep SinghDIXON, Adam D.MONK, Ashby H. B.

The New Frontier Investors is essential reading for anyone wanting to see a change in global financial markets and the professionalization of asset owners worldwide, from public pension funds and sovereign wealth funds to foundations and endowments. It is thus required reading for the senior executives and employees working in the field of beneficiary institutional investment, as well as govern…

Edition
-
ISBN/ISSN
978-1-137-50857-7
Collation
XXIII, 147
Series Title
-
Call Number
-
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cover
Managing Uncertainty, Mitigating Risk: Tackling the Unknown in Financial Risk…
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Nick B. FiroozyeFauziah Ariff

Managing Uncertainty, Mitigating Risk proposes that financial risk management broaden its approach, maintaining quantification where possible, but incorporating uncertainty. The author shows that by using broad quantification techniques, and using reason as the guiding principle, practitioners can see a more holistic and complete picture.

Edition
-
ISBN/ISSN
978-1-137-33454-1
Collation
-
Series Title
-
Call Number
-
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cover
Behavioral Risk Management : Managing the Psychology That Drives Decisions an…
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SHEFRIN, Hersh

The psychological dimension of managing risk is of crucial importance, and its study has led to the identification of specific do's and don'ts. Those with an understanding of the psychology underlying risk and the skills to recognize its manifestation in practice, have the opportunity to develop frameworks that embody the do's and don'ts, thereby producing sound judgments and good decisions. Th…

Edition
-
ISBN/ISSN
978-1-137-44562-9
Collation
XXI, 518
Series Title
-
Call Number
658.155
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