語系/ Language:
繁體中文
English
KMU OLIS
登入
回首頁
切換:
標籤
|
MARC模式
|
ISBD
Risk, risk management and regulation...
~
Pelzer, Peter.
Risk, risk management and regulation in the banking industry : the risk to come
紀錄類型:
書目-語言資料,印刷品 : 單行本
副題名:
the risk to come
作者:
PelzerPeter.,
出版地:
London
出版者:
Routledge;
出版年:
2013.
面頁冊數:
x, 219 p.ill. :
集叢名:
Routledge international studies in money and banking
標題:
Electronic books. -
標題:
Banks and banking. -
標題:
Banks and banking - Risk management. -
標題:
Financial risk. -
標題:
Risk. -
標題:
Risk management. -
電子資源:
http://www.tandfebooks.com/isbn/9780203100721
ISBN:
9780203100721
內容註:
1. What is to come 2. Thinking about the im-possible risk in the financial industry 3. Risk : the sovereign exception 4. The displaced world of risk : risk management as alienated risk (perception?) 5. From "risk and responsibility" to the risk of responsibility 6. "Who's afraid of red, yellow and blue" : towards an aesthetics of risk 7. The risk to come : a different way of thinking risk 8. Risk and regulation disseminate : the pharmakon 9. Containing risk : towards a regulation to come 10. (This will not have been a) conclusion.
Risk, risk management and regulation in the banking industry : the risk to come
Pelzer, Peter.
Risk, risk management and regulation in the banking industry
: the risk to come / by Peter Pelzer. - London : Routledge, 2013.. - x, 219 p. ; ill.. - (Routledge international studies in money and banking ; 72).
1. What is to come.
Includes bibliographical references (p. [203]-214) and index..
ISBN 9780203100721
Electronic books.Banks and banking.Banks and bankingFinancial risk.Risk.Risk management. -- Risk management.
Risk, risk management and regulation in the banking industry : the risk to come
LDR
:01509nam a2200265 450
001
288816
005
20121129103231.0
009
00000407
010
1
$a
9780203100721
$b
e-book : PDF
100
$a
20151127d2013 u y0engy50 b
102
$a
gb
105
$a
a a 001yy
200
1
$a
Risk, risk management and regulation in the banking industry
$e
the risk to come
$f
by Peter Pelzer.
204
1
$a
electronic resource
210
$a
London
$a
New York
$c
Routledge
$d
2013.
215
1
$a
x, 219 p.
$c
ill.
225
2
$a
Routledge international studies in money and banking
$v
72
310
$a
Also available in print edition.
320
$a
Includes bibliographical references (p. [203]-214) and index.
327
1
$a
1. What is to come
$a
2. Thinking about the im-possible risk in the financial industry
$a
3. Risk : the sovereign exception
$a
4. The displaced world of risk : risk management as alienated risk (perception?)
$a
5. From "risk and responsibility" to the risk of responsibility
$a
6. "Who's afraid of red, yellow and blue" : towards an aesthetics of risk
$a
7. The risk to come : a different way of thinking risk
$a
8. Risk and regulation disseminate : the pharmakon
$a
9. Containing risk : towards a regulation to come
$a
10. (This will not have been a) conclusion.
337
$a
Mode of access: World Wide Web.
410
0
$1
2001
$a
Routledge international studies in money and banking
$v
72
452
1
$1
0101
$a
9780415508506 (hardback)
606
$a
Electronic books.
$2
local.
$3
355480
606
$a
Banks and banking.
$2
lc
$3
385747
606
$a
Banks and banking
$x
Risk management.
$2
lc
$3
385746
606
$a
Financial risk.
$2
lc
$3
385745
606
$a
Risk.
$2
lc
$3
385744
606
$a
Risk management.
$2
lc
$3
385743
676
$a
332.10681
680
$a
HD61
$b
.P46 2013
700
1
$a
Pelzer
$b
Peter.
$3
385742
856
7
$2
http
$u
http://www.tandfebooks.com/isbn/9780203100721
筆 0 讀者評論
多媒體
評論
新增評論
分享你的心得,請勿在此評論區張貼涉及人身攻擊、情緒謾罵、或內容涉及非法的不當言論,館方有權利刪除任何違反評論規則之發言,情節嚴重者一律停權,以維護所有讀者的自由言論空間。
Export
取書館別
處理中
...
變更密碼
登入