MANAGING THE RISK OF FRAUD AND MISCONDUCT
RICHARD H.GIRGENTI2011 年出版320 页ISBN:9780071621298
经济安全 early warning and risk dissolution
周绍朋,张孝德主编2005 年出版486 页ISBN:780140436X
本书的主要内容是:宏观经济发展理论与实践、财政理论与政策、金融理论与政策等等。
LIQUIDITY RISK MANAGEMENT A PRACTITIONER'S PERSPECTIVE
SHYAM VENKAT STEPHEN BAIRD2016 年出版292 页ISBN:1118881927
BIOMARKERS IN RISK ASSESSMENT VALIDITY AND VALIDATION
WORLD HEALTH ORGANIZATION GENEVA2001 年出版238 页ISBN:9241572221
QUANTITATIVE FINANCIAL RISK MANAGEMENT THEORY AND PRACTICE
CONSTANTIN ZOPOUNIDIS EMILIOS GALARIOTIS2015 年出版428 页ISBN:1118738184