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2558 books were found.
Drawing on Foucault's later work on governmentality, this book traces the effects of 'the rise of risk' on contemporary... Read More >>
Disasters: learning the lessons for a safer world recognises the achievements of health and safety professionals... Read More >>
This book integrates corporate governance, corporate finance and accounting to formulate sound financial management... Read More >>
Criminal Capital is an engaging but authoritative account of how financial structures and products can and are being... Read More >>
Climate change poses a risk to business operations and to markets--but at the same time, it can bring opportunities... Read More >>
The European Periphery Debt Crisis (EPDC) has its roots in the structural characteristics of the individual economies... Read More >>
Both quantitative and qualitative analysis is used to review China's stock market in a book containing the latest... Read More >>
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Emerging Markets and Sovereign Risk provides case studies, commentary and analysis on the financial risk management... Read More >>
This latest edition of The Field Guide to Understanding 'Human Error ' will help you understand how to move beyond... Read More >>
This book examines the effectiveness of surveillance by international institutions for financial crisis prevention.... Read More >>
SCRAM is a sweeping investigation of the sources of risk, the many ways to mitigate risk, and a number of ways that... Read More >>
This book is an examination of the sovereign risk and debt limit issues facing the Eurozone (crisis/post crisis)... Read More >>
This book offers a comprehensive comparative analysis of the microcredit guarantee funds adopted in three South... Read More >>
Theoretically, financial risks models are models of a real and a financial “uncertainty”, based on both common and... Read More >>