We can't find the internet
Attempting to reconnect
Something went wrong!
Hang in there while we get back on track
£78.09
Parlux Risk Management Post Financial Crisis: A Period of Monetary Easing: 96 (Contemporary Studies in Economic and Financial Analysis, 96)
Price data last checked 9 day(s) ago - will refresh soon
Price History & Forecast
Last 82 days • 82 data points (No recent data available)
Price Distribution
Price distribution over 82 days • 4 price levels
Price Analysis
Most common price: £74 (53 days, 64.6%)
Price range: £74 - £78
Price levels: 4 different prices over 82 days
Description
Product Specifications
- Brand
- Parlux
- Format
- hardcover
- ASIN
- 1784410276
- Domain
- Amazon UK
- Release Date
- 03 October 2014
- Listed Since
- 22 April 2014
Barcode
No barcode data available
Similar Products You Might Like
Risk Management for Central Banks and Other Public Investors
Cambridge University Press
Securing Finance, Mobilizing Risk: Money Cultures at the Bank of England (RIPE Series in Global Political Economy)
Routledge
Risk Assessment and Financial Regulation in Emerging Markets' Banking: Trends and Prospects (Advanced Studies in Emerging Markets Finance)
Springer
Financial Markets: Imperfect Information and Risk Management (Central Issues in Contemporary Economic Theory and Policy)
MACMILLAN
Financial Risk Management: Identification, Measurement and Management
Springer
Analyzing and Managing Banking Risk: A Framework for Assessing Corporate Governance and Financial Risk (World Bank Training)
World Bank Publications
Risk Management and Capital Adequacy (PROFESSIONAL FINANCE & INVESTM)
McGraw-Hill Education
Bank Risk Management in Developing Economies: Addressing the Unique Challenges of Domestic Banks
Academic Press
The Risk in Risk Management: Financial Organizations & the Problem of Conformity
Routledge
ENTERPRISE RISK MANAGEMENT: 1 (Financial Engineering and Risk Management)
World Scientific Publishing Company
Strategic Risk Management Practice: How to Deal Effectively with Major Corporate Exposures
Cambridge University Press
Multi-Asset Risk Modeling: Techniques for a Global Economy in an Electronic and Algorithmic Trading Era
Academic Press
Engineering Risk and Finance: 188 (International Series in Operations Research & Management Science, 188)
Springer
Decision Taking, Confidence and Risk Management in Banks from Early Modernity to the 20th Century (Palgrave Studies in the History of Finance)
MACMILLAN
Advances in Corporate Finance and Asset Pricing
Elsevier
New Perspectives on the Bank-Firm Relationship: Lending, Management and the Impact of Basel III (Palgrave Macmillan Studies in Banking and Financial Institutions)
MACMILLAN
Risk, Uncertainty and Government
Routledge
Legacy of the Global Financial Crisis, The
I. B. Tauris & Company
Governing Financial Services in the European Union: Banking, Securities and Post-Trading (Routledge/UACES Contemporary European Studies)
Routledge
Managing Risk and Opportunity: The Governance of Strategic Risk-Taking
Oxford University Press
Risk Measures for the 21st Century: 266 (The Wiley Finance Series)
Wiley
Risk Management: Unternehmensrisiken erkennen und bewältigen
Gabler Verlag
Towards a Sustainable Fiscal Position for Malaysia: A Proposal for Reform: 11 (De Gruyter Studies in Islamic Economics, Finance and Business, 11)
De Gruyter Oldenbourg
Global Risk Agility and Decision Making: Organizational Resilience in the Era of Man-Made Risk
MACMILLAN