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Dimitris N. Chorafas
Books by Dimitris N. Chorafas
Risk Pricing: Using Quantum Electrodynamics for Higher Order Risks
Publisher: Harriman House
Published: 2010
Edition: 1st
Format:Pb
Our price £55.25
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£65.00
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£9.75
(15%)
Economic Capital Allocation with Basel II
Cost, Benefit and Implementation Procedures
Publisher: Butterworth-Heinemann Ltd
Published: 2004
Edition: 1st
Format:Hardback
Our price £72.00
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£80.00
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£8.00
(10%)
Alternative Investments and the Mismanagement of Risk
Publisher: Palgrave MacMillan
Published: 2003
Edition: illustrated edition
Format:Hardback
Our price £103.50
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£115.00
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£11.50
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Implementing and Auditing the Internal Control System
Publisher: Palgrave MacMillan
Published: 2002
Edition: 1st
Format:Hardback
Price £115.00
Stress Testing: Risk Management Strategies for Extreme Events
Publisher: Euromoney Institutional Investor
Published: 2002
Edition: 1st
Format:Pb
Out of Print
Managing Risk in the New Economy
Publisher: NYIF
Published: 2001
Edition: 1st
Format:Hb
Out of Print
Managing Credit Risk: v. 1
Publisher: Euromoney Institutional Investor
Published: 2000
Edition: 1st
Format:Pb
Out of Print
Managing Credit Risk: v. 2
Publisher: Euromoney Institutional Investor
Published: 2000
Edition: 1st
Format:Pb
Out of Print
New Regulation of the Financial Industry
Publisher: Palgrave MacMillan
Published: 2000
Edition: 1st
Format:Hardback
Price £115.00
Credit Derivatives and the Management of Risk
Publisher: NYIF
Published: 1999
Edition: 1st
Format:Hb
Our price £49.50
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£55.00
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£5.50
(10%)
Handbook of Commercial Banking
Strategic Planning for Growth and Survival in the New Decade
Publisher: Palgrave MacMillan
Published: 1998
Edition: 1st
Format:Hardback
Price £15.99
Setting Limits for Market Risk
Implementing the Pre-Commitment Solution
Publisher: Euromoney Institutional Investor
Published: 1998
Edition: 1st
Format:Pb
Out of Print
Understanding Volatility and Liquidity in the Financial Markets
Building a Comprehensive System of Risk Management
Publisher: Euromoney Institutional Investor
Published: 1998
Edition: 1st
Format:Pb
Out of Print
Advanced Financial Analysis
Training Manual
Publisher: Euromoney Institutional Investor
Published: 1997
Edition: 1st
Format:Pb
Out of Print
The Market Risk Amendment
Publisher: McGraw-Hill Professional
Published: 1997
Edition: 1st
Format:Hb
Out of Print
Mathematics for Derivatives: v. 2
Advanced Modelling Methods
Publisher: Euromoney Institutional Investor
Published: 1996
Edition: 1st
Format:Pb
Out of Print
The Money Magnets
Regulating international finance, analyzing money flows and selecting a strategy for personal hedging
Publisher: Euromoney Institutional Investor
Published: 1996
Edition: 1st
Format:Pb
Out of Print
Managing Derivatives Risk
Establishing Internal Systems & Controls
Publisher: Irwin
Published: 1995
Edition: 1st
Format:Hb
Our price £33.14
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Mathematics for Derivatives: v. 1
Understanding The Behaviour of Markets
Publisher: Euromoney Institutional Investor
Published: 1995
Edition: 1st
Format:Pb
Out of Print
Chaos Theory in the Financial Markets
Applying Fractals, Fuzzy Logic, Genetic Algorithms, Swarm Simulation and the Monte Carlo Method to Manage Market Chaos and Volatility
Publisher: McGraw-Hill
Published: 1994
Edition: illustrated edition
Format:Hb
Our price £50.14
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£58.99
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Treasury Operations and the Foreign Exchange Challenge
A Guide to Risk Management Strategies for the New World Markets
Publisher: John Wiley & Sons Ltd
Published: 1992
Format:Hb
Our price £40.00
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£10.00
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Capitalism Without Capital
Regulating the Creation of Credit, its Allocation and Underlying Risk
Publisher: Harriman House
Edition: 1st
Format:Hb
Our price £25.49
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