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1

Hillairet, Caroline. Arbitrage, credit and informational risks. World Scientific, 2014.

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2

Gourieroux, Christian. Financial risks: New developments in structured product & credit derivatives. Edited by Jeanblanc-Picqué Monique 1947- and International Financial Research Forum (1st : 2008 : Paris, France). Finance Innovation, 2009.

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3

Gromb, Moshe. Omanut nihul: The art of credit and collections risks management : sikune ashrai u-geviyah. Mosheh Gromb, Moriso Ṭayeb, 2011.

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4

Charaeva, Marina. Corporate finance management strategy: investments and risks. INFRA-M Academic Publishing LLC., 2021. http://dx.doi.org/10.12737/1064905.

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The article examines and develops the methodological and methodological basis of corporate finance management in the context of their strategic development, when investment and financing decisions are particularly relevant from the point of view of determining acceptable risks and the financial well-being of the corporation. The conceptual and methodological foundations of analytical support for corporate finance management are developed, based on the definition of investment policy, its implementation through investment business planning and identification and assessment of financial risks in
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5

Witzany, Jiří. Credit Risk Management. Springer International Publishing, 2017. http://dx.doi.org/10.1007/978-3-319-49800-3.

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6

Colquitt, Joetta. Credit Risk Management. McGraw-Hill, 2007.

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7

Peter, Went, ed. Credit risk management. GARP, 2010.

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8

GesmbH, Finanzmarkt Austria Dienstleistungs, ed. Guidelines on credit risk management: Credit approval process and credit risk management. Oesterreichische Nationalbank, 2004.

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9

Wagner, Niklas. Credit Risk. Taylor and Francis, 2008.

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10

Koulafetis, Panayiota. Modern Credit Risk Management. Palgrave Macmillan UK, 2017. http://dx.doi.org/10.1057/978-1-137-52407-2.

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11

Anolli, Mario, Elena Beccalli, and Tommaso Giordani, eds. Retail Credit Risk Management. Palgrave Macmillan UK, 2013. http://dx.doi.org/10.1057/9781137006769.

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12

Nelson, Richard Warren. Credit card risk management. Warren Taylor Publications, 1997.

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13

Peter, Taylor, and IFS School of Finance, eds. Consumer credit risk management. Global Professional Publishing, 2008.

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14

John, Barrickman, ed. Strategic credit risk management. Robert Morris Associates, 1994.

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15

Siddiqi, Naeem. Credit Risk Scorecards. John Wiley & Sons, Ltd., 2005.

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16

Abrahams, Clark R. Credit Risk Assessment. John Wiley & Sons, Ltd., 2009.

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17

Zelenko, Ivan. Credit Risk Management for Derivatives. Springer International Publishing, 2017. http://dx.doi.org/10.1007/978-3-319-57975-7.

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18

Hibbeln, Martin. Risk Management in Credit Portfolios. Physica-Verlag HD, 2010. http://dx.doi.org/10.1007/978-3-7908-2607-4.

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19

Bart, Baesens, ed. Credit risk management: Basic concepts. Oxford University Press, 2008.

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20

Coyle, Brian. Framework for credit risk management. CIB Publishing, 2000.

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21

Nationalbank, Oesterreichische, and Finanzmarkt Austria Dienstleistungs GesmbH, eds. Guidelines on credit risk management. Oesterreichische Nationalbank (OeNB), 2004.

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22

M, Matz Leonard, ed. Risk management for credit unions. Thomson/Sheshunoff, 2002.

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23

Nationalbank, Oesterreichische, and Finanzmarkt Austria Dienstleistungs GesmbH, eds. Guidelines on credit risk management. Oesterreichische Nationalbank (OeNB), 2004.

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24

Satyajit, Das, ed. Credit derivatives: Trading & management of credit & default risk. Wiley, 1998.

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25

Publishing, OECD. Credit Risk and Credit Access in Asia. Organisation for Economic Co-operation and Development, 2006.

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26

Mayland, Paul F. Bank operating credit risk: Assessing and controlling credit risk in bank operating services. Bankers Pub.Co., 1993.

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27

Mueller, P. Henry. Perspective on credit risk. R. Morris Associates, 1988.

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28

Hünseler, M. Credit Portfolio Management: A Practitioner's Guide to the Active Management of Credit Risks. Palgrave Macmillan Limited, 2013.

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29

Hünseler, Michael. Credit Portfolio Management: A Practitioner's Guide to the Active Management of Credit Risks. Palgrave Macmillan Limited, 2013.

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30

Credit Portfolio Management A Practitioners Guide To The Active Management Of Credit Risks. Palgrave Macmillan, 2013.

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31

A Guide to active credit portfolio management: Spotlight on illiquid credit risks. Risk Books, 2008.

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32

Cade, Eddie. Managing Banking Risks. Elsevier Science & Technology, 1997.

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33

Managing banking risks. Gresham Books, in association with the Chartered Institute of Bankers, 1997.

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34

Managing banking risks. Glenlake Pub. co., 1999.

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35

Cade, Eddie. Managing Banking Risks: Reducing Uncertainty to Improve Bank Performance. Taylor & Francis Group, 2013.

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36

Barkley, Thomas. Energy Risk Management. Oxford University Press, 2018. http://dx.doi.org/10.1093/oso/9780190656010.003.0024.

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The backdrop of rapid growth of worldwide energy consumption and increasing concerns about global energy sustainability and environment protection, as well as an increasing uncertainty of commodity prices, require energy companies to use derivatives to hedge against risks related to energy trading. Over time, this situation has led to a more important role for energy risk management as part of a company’s core business operation. This chapter discusses the primary financial instruments used in the energy sector and risk management for energy companies. It reviews the application of several imp
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37

Managing Banking Risks: Reducing Uncertainty to Improve Bank Performance. Routledge, 2013.

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38

Managing Banking Risks: Reducing Uncertainty to Improve Bank Performance. Routledge, 2000.

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39

Cade, Eddie. Managing Banking Risks: Reducing Uncertainty to Improve Bank Performance. Global Professional Publishing, 1999.

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40

Cade, Eddie. Managing Banking Risks: Reducing Uncertainty to Improve Bank Performance. Taylor & Francis Group, 2013.

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41

Cade, Eddie. Managing Banking Risks: Reducing Uncertainty to Improve Bank Performance. Taylor & Francis Group, 2013.

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42

Theis, Christoph. The Risks and Benefits of Credit Default Swaps and the Impact of a New Regulatory Environment. Haupt Verlag AG, 2014.

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43

Bankers, Chartered Institute of. Credit Risk Management: Measuring Credit Risk (Risk Management/Credit Risk Management). Chartered Institute of Bankers, 1998.

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44

Bandyopadhyay, Arindam. Basic Statistics for Risk Management in Banks and Financial Institutions. Oxford University Press, 2022. http://dx.doi.org/10.1093/oso/9780192849014.001.0001.

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The book provides an engaging account of theoretical, empirical, and practical aspects of various statistical methods in measuring risks of financial institutions, especially banks. In this book, the author demonstrates how banks can apply many simple but effective statistical techniques to analyse risks they face in business and safeguard themselves from potential vulnerability. It covers three primary areas of banking risks—credit, market, and operational risk, and in a uniquely intuitive, step-by-step manner, the author provides hands-on details on the primary statistical tools that can be
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45

Dominguez, Alejandro. Risky Risk Management: An Informal Tour of Consumer Credit Risk Management. Independently Published, 2018.

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46

Coyle, Brian. Framework for Credit Risk Management: Credit Risk Management (Risk Management Series). Global Professional Publishing, 2000.

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47

Credit Risk Management. Elsevier, 2004. http://dx.doi.org/10.1016/b978-0-7506-5903-1.x5000-8.

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48

Fight, Andrew. Credit Risk Management. Elsevier Science & Technology Books, 2004.

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49

Hong Kong Institute of Bankers (HKIB). Credit Risk Management. Wiley, 2012.

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50

Hong Kong Institute of Bankers (HKIB). Credit Risk Management. Wiley & Sons, Incorporated, John, 2012.

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