Books on the topic 'Risk ratios'
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Cummins, J. David. Regulatory solvency predictionin propert-liability insurance: Risk based capital, audit ratios, and cash flow simmulation. Federal Reserve Bank of Philadelphia, Economic Research Division, 1998.
Find full textAltman, Edward I. The link between default and recovery rates: Effects on the procyclicality of regulatory capital ratios. Bank for International Settlements, Monetary and Economic Dept., 2002.
Find full textKelly, Alan. The influence of agency costs, growth and risk on the dividend payout ratios of Irish public limited companies. University College Dublin, 1995.
Find full textKenna, Timothy C. The distribution and history of nuclear weapons related contamination in sediments from the Ob River, Siberia as determined by isotopic ratios of Plutonium, Neptunium, and Cesium. Massachusetts Institute of Technology, 2002.
Find full textChristian, Korting Hans, and Maibach Howard I, eds. Topical glucocorticoids with increased benefit/risk ratio. Karger, 1993.
Find full text1947-, Koren Gideon, ed. Retinoids in clinical practice: The risk-benefit ratio. M. Dekker, 1993.
Find full textJagannathan, Ravi. Long run risks & price/dividend ratio factors. National Bureau of Economic Research, 2011.
Find full textJagannathan, Ravi. Long run risks & price/dividend ratio factors. National Bureau of Economic Research, 2011.
Find full textLustig, Hanno. The cross-section of currency risk premia and US consumption growth risk. National Bureau of Economic Research, 2005.
Find full textLustig, Hanno. The cross-section of currency risk premia and US consumption growth risk. National Bureau of Economic Research, 2005.
Find full textNationalbank, Oesterreichische, and Finanzmarkt Austria Dienstleistungs GesmbH, eds. Guidelines on credit risk management. Oesterreichische Nationalbank (OeNB), 2004.
Find full textObstfeld, Maurice. Risk and exchange rates. National Bureau of Economic Research, 1998.
Find full textMorgan, Donald P. Rating banks: Risk and uncertainty in an opaque industry. Federal Reserve Bank of New York, 2000.
Find full textLarraín, Guillermo, and Guillermo Larraín. Emerging market risk and sovereign credit ratings. Organisation for Economic Co-operation and Development, 1997.
Find full textM, Gardener Edward P., and University College of North Wales. Institute of European Finance., eds. Interest rate risk and banks. Institute of European Finance, University College of North Wales, 1987.
Find full textM, Gardener Edward P., and University College of North Wales. Institute of European Finance., eds. Interest rate risk and banks. Institute of European Finance, University College of North Wales, 1987.
Find full textBittner, Chancy. Review of risk premium methodology. Research, Economics, and Finance Section, Iowa Utilities Board, 1994.
Find full textRazin, Assaf. Country risk and capital flow reversals. National Bureau of Economic Research, 2001.
Find full textKurosawa, Yoshitaka. Capital market and rating agencies in Asia: Structuring a credit risk rating model. Nova Science Publishers, 2011.
Find full textWalraven, Nicholas Alan. Bank risk ratings and the pricing of agricultural loans. Federal Reserve Board, 2003.
Find full textRotblut, Charles. Better good than lucky: How savvy investors create fortune with the risk-reward ratio. W&A Publishing, 2010.
Find full textDermine, Jean. The BIS proposal for the measurement of interest rate risk: Some pitfalls. INSEAD, 1991.
Find full textEmard, Gérard. Gestion du risque de taux d'intérêt. Presses universitaires de France, 1989.
Find full textChŏng, Chae-sik. Exchange rate volatilies and time-varying risk premium in East Asia. Korea Institute for International Economic Policy, 2004.
Find full textDermine, Jean. The evaluation of interest rate risk: Some warnings about the Basle proposal. INSEAD, 1993.
Find full textHibbeln, Martin. Risk management in credit portfolios: Concentration risk and Basel II. Physica, 2010.
Find full textKaminsky, Graciela Laura. Emerging markets instability: Do sovereign ratings affect country risk and stock returns? World Bank, Development Research Group, Macroeconomics and Growth, 2001.
Find full textBalakrishnan, Ravi. U.S. dollar risk premiums and capital flows. International Monetary Fund, Western Hemisphere Dept., 2006.
Find full textPatnaik, Ila. Interest rate volatility and risk in Indian banking. International Monetary Fund, IMF Institute, 2004.
Find full textChristian, Korting Hans, and Schäfer-Korting Monika 1952-, eds. The benefit/risk ratio: A handbook for the rational use of potentially hazardous drugs. CRC Press, 1999.
Find full textBrock, Philip Lawton. High real interest rates, guarantor risk, and bank recapitalizations. World Bank, Office of the Senior Vice President and Chief Economist, Development Economics, 1996.
Find full textSvensson, Lars E. O. Term, inflation, and foreign exchange risk premia: A unified treatment. Stockholm University, Institute for International Economic Studies, 1993.
Find full textSvensson, Lars E. O. Term, inflation, and foreign exchange risk premia: A unified treatment. National Bureau of Economic Research, 1993.
Find full textShin, Kilman. Interest rate, risk, and income distribution. Taegu University Press, 1986.
Find full textSchneckenburger, Kurt, and Harold M. Sollenberger. Applying Risk-Based Capital Ratios to Credit Unions. Filene Research Institute, Incorporated, 1994.
Find full textAminian, Ali. Online Preoperative Risk Assessment Tools. Edited by Tomasz Rogula, Philip Schauer, and Tammy Fouse. Oxford University Press, 2018. http://dx.doi.org/10.1093/med/9780190608347.003.0006.
Full textCorporate Financial Analysis: A Comprehensive Beginner's Guide to Analyzing Corporate Financial Risk, Statements, Data Ratios, and Reports. Indy Pub, 2023.
Find full textMontaivo, Johna. Ways to Avoid Losing Money in Forex : Simple Tips to Increase Your Profit Potential: Higher Reward to Risk Ratios. Independently Published, 2021.
Find full textLee, Christoph I. Imaging Utilization Trends and Radiation Exposure. Oxford University Press, 2016. http://dx.doi.org/10.1093/med/9780190223700.003.0049.
Full textElwood, Mark. Confounding. Oxford University Press, 2017. http://dx.doi.org/10.1093/med/9780199682898.003.0007.
Full textBesedovsky, Natalia. Uncertain Meanings of Risk. Oxford University Press, 2018. http://dx.doi.org/10.1093/oso/9780198820802.003.0011.
Full textRenn, Ortwin, Eugene A. Rosa, and Thomas Webler. RISK UNCERTAINTY RATION ACTION (hb (Earthscan Risk and Society Series). Earthscan Publications Ltd., 2001.
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