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1

Liang, Jin, and Bei Hu. Credit Rating Migration Risks in Structure Models. Springer Nature Singapore, 2024. http://dx.doi.org/10.1007/978-981-97-2179-5.

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2

Office, General Accounting. Force structure: Army support forces can meet two-conflict strategy with some risks : report to Congressional committees. The Office, 1997.

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3

Scherbak, Aleksey, Vladimir Andreev, and Afanasiy Zubov. IT risk management. INFRA-M Academic Publishing LLC., 2023. http://dx.doi.org/10.12737/1900623.

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The monograph examines the features of risk management in the field of information technology, describes the methodology for building the organizational structure of risk management, analyzes the sequence of steps to establish risk control, pays great attention to the methods and tools of risk management in IT. It provides information about strategic and tactical risks, as well as project risks, and examines the nuances of launching and controlling risk management in IT.
 It is intended for a wide range of specialists whose activities are associated with risks in the field of IT, for teac
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4

Office, General Accounting. U.S. Treasury securities: The market's structure, risks, and regulation : briefing report to the Chairman, Subcommittee on Domestic Monetary Policy, Committee on Banking, Finance and Urban Affairs, House of Representatives. The Office, 1986.

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5

Office, General Accounting. U.S. Treasury securities: The market's structure, risks, and regulation : briefing report to the Chairman, Subcommittee on Domestic Monetary Policy, Committee on Banking, Finance and Urban Affairs, House of Representatives. The Office, 1986.

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6

Office, General Accounting. U.S. Treasury securities: The market's structure, risks, and regulation : briefing report to the Chairman, Subcommittee on Domestic Monetary Policy, Committee on Banking, Finance and Urban Affairs, House of Representatives. The Office, 1986.

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7

Office, General Accounting. U.S. Treasury securities: The market's structure, risks, and regulation : briefing report to the Chairman, Subcommittee on Domestic Monetary Policy, Committee on Banking, Finance and Urban Affairs, House of Representatives. The Office, 1986.

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8

Office, General Accounting. U.S. Treasury securities: The market's structure, risks, and regulation : briefing report to the Chairman, Subcommittee on Domestic Monetary Policy, Committee on Banking, Finance and Urban Affairs, House of Representatives. The Office, 1986.

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9

Office, General Accounting. U.S. Treasury securities: The market's structure, risks, and regulation : briefing report to the Chairman, Subcommittee on Domestic Monetary Policy, Committee on Banking, Finance and Urban Affairs, House of Representatives. The Office, 1986.

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10

Willsher, Richard. Export finance: Risks, structures and documentation. Macmillan, 1995.

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11

United States. Federal Highway Administration. Office of Asset Management. Risk-based transportation asset management: Managing risks to networks, corridors, and critical structures : Report 4. Managing risks to critical asses. Office of Asset Management, Federal Highway Administration, 2013.

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12

Gatev, Evan G. Liquidity risk and syndicate structure. National Bureau of Economic Research, 2008.

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13

Desai, Mihir A. Capital structure with risky foreign investment. National Bureau of Economic Research, 2006.

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14

Zhivetin, Vladimir. Sot︠s︡iosfernye riski. In-t problem riska, 2008.

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15

Nicoló, Gianni De. Bank ownership, market structure and risk. International Monetary Fund, Research Dept., 2007.

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16

Dundulis, Gintautas. Deterministic and probabilistic structural integrity analysis of the reinforced concrete structures. Begell House, 2012.

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17

Lara, Yadira González de. Risk-sharing, enforceability, information and capital structure. European University Institute, 2000.

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18

Lara, Yadira González de. Risk-sharing, enforceability, information and capital structure. European University Institute, 2000.

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19

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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20

J, Song, U.S. Nuclear Regulatory Commission. Office of Nuclear Regulatory Research. Division of Engineering Technology., Johns Hopkins University. Dept. of Civil Engineering., and Oak Ridge National Laboratory, eds. Impact of structural aging on seismic risk assessment of reinforced concrete structures in nuclear power plants. Division of Engineering Technology, Office of Nuclear Regulatory Research, U.S. Nuclear Regulatory Commission, 1996.

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21

Campbell, John Y. The term structure of the risk-return tradeoff. National Bureau of Economic Research, 2005.

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22

Guidolin, Massimo. Term structure of risk under alternative econometric specifications. Federal Reserve Bank of St. Louis, 2005.

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23

Bohm, Christoph. Risk-adjusted performance and bank governance structures. Peter Lang, 2013.

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24

France), ASTEO (Paris, and Commission of the European Communities., eds. Risk analysis for offshore structures and equipment. Graham & Trotman, 1987.

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25

Gottardo, Pietro, and Anna Maria Moisello. Capital Structure, Earnings Management, and Risk of Financial Distress. Springer International Publishing, 2019. http://dx.doi.org/10.1007/978-3-030-00344-9.

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26

Hayashi, Fumio. Risk-sharing, altruism, and the factor structure of consumption. National Bureau of Economic Research, 1991.

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27

author, Korsell Lars E., and Brottsförebyggande rådet (Sweden), eds. Reported corruption in Sweden: Structure, risk factors and countermeasures. Swedish National Council for Crime Prevention, 2013.

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28

Cumby, Robert E. The term structure of credit risk: Estimates and specifications. London School of Economics, Financial Markets Group, 1995.

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29

John, Kose. Risk-shifting incentives and signalling through corporate capital structure. Salomon Brothers Center for the Study of Financial Institutions, Graduate School of Business Administration, New York University, 1987.

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30

John, Kose. Risk-shifting incentives and signalling through corporate capital structure. Salomon Brothers Center for the Study of Financial Institutions, Graduate School of Business Administration, New York University, 1987.

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31

Muraskin, Lana D. A structured freshman year for at-risk students. National Council of Educational Opportunity Associations], 1998.

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32

Doss-Gollin, James. Sequential Adaptation through Prediction of Structured Climate Risk. [publisher not identified], 2020.

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33

Calderón, César. Structure and development of financial institutions and links with trust: Cross-country evidence. Inter-American Development Bank, 2001.

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34

Credit Rating Migration Risks in Structure Models. Springer, 2024.

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35

Schuster, Carol R. Force Structure: Army Support Forces Can Meet Two-Conflict Strategy With Some Risks. Diane Pub Co, 1997.

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36

Alexei, Turchin. STRUCTURE of the GLOBAL CATASTROPHE Risks of human extinction in the XXI Century. Lulu Press, Inc., 2010.

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37

Turchin, Alexei. STRUCTURE of the GLOBAL CATASTROPHE Risks of human extinction in the XXI Century. Lulu Press, Inc., 2010.

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38

Ranci, Costanzo. Social Vulnerability in Europe: The New Configuration of Social Risks. Palgrave Macmillan, 2009.

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39

John, Dewar, and Taufatofua Chris. 5 Allocation of Risks in Project Documentation. Oxford University Press, 2015. http://dx.doi.org/10.1093/law/9780198715559.003.0006.

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Achieving the optimal risk allocation in the project document structure is critical to the successful delivery of any project. This chapter outlines the key considerations that help determine how the project risks are typically approached in the context of the key project documents, including concession agreements, construction contracts, offtake agreements, feedstock supply agreements, and operation and maintenance agreements. Particular focus is given to the need to achieve a project document structure and risk allocation that is ‘bankable’, while emphasizing the importance of a risk allocat
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40

Financial Hacking: Evaluate Risks, Price Derivatives, Structure Trades, and Build Your Intuition Quickly and Easily. World Scientific Publishing Co Pte Ltd, 2012.

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41

Friedland, John H. Law and Structure of the International Financial System. Greenwood Publishing Group, Inc., 1994. http://dx.doi.org/10.5040/9798216976318.

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The major themes of financial regulation in the U.S., the EEC, and Japan are discussed in four interwoven, but independent, essays. The central focus is the protection of the financial system by insuring prudential rules against systemic risks, particularly through promoting capital adequacy by international and national agreement and with due consideration to the distinction between the banking and securities business. The work concludes with the assertion that international harmonization of regulation is necessary for the long-run efficiency of financial markets.
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42

Chandrasekaran, Srinivasan. Offshore Structural Engineering: Reliability and Risk Assessment. Taylor & Francis Group, 2017.

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43

Pollner, John D. Managing Catastrophic Disaster Risks Using Alternative Risk Financing and Pooled Insurance Structures. The World Bank, 2001. http://dx.doi.org/10.1596/0-8213-4917-1.

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44

Cowhey, Peter F., and Jonathan D. Aronson. Cybersecurity as a Governance Challenge. Oxford University Press, 2017. http://dx.doi.org/10.1093/acprof:oso/9780190657932.003.0007.

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Chapter 7 concentrates on international issues pertaining to cybersecurity. It explains why predictable market incentives lead to unacceptable security risks if governments do not set guidelines. However, government actions face significant issues of international interdependence in creating security. The type of interdependence depends on the market structure and risk factors. The chapter illustrates how different structures of international governance and engagement of multistakeholder organizations have worked in regard to cybersecurity for the finance sector. One case involves the Society
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45

Ice mechanics: Risks to offshore structures. Graham & Trotman, 1988.

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46

Willsher, Richard. Export Finance: Risks, Structures, and Documentation. Palgrave Macmillan, 2016.

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47

Budget risks and structural problems. The Board, 2002.

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48

Chandrasekaran, Srinivasan. Offshore Structural Engineering: Reliability and Risk Assessment. Taylor & Francis Group, 2017.

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49

Chandrasekaran, Srinivasan. Offshore Structural Engineering: Reliability and Risk Assessment. Taylor & Francis Group, 2017.

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50

Chandrasekaran, Srinivasan. Offshore Structural Engineering: Reliability and Risk Assessment. Taylor & Francis Group, 2017.

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