Corporate Finance: The Ultimate Guide to Financial Reporting, Business Valuation, Risk Management, Financial Management, and Financial Statements
Greg Shields
Risk Management: The Ultimate Guide to Financial Risk Management as Applied to Corporate Finance
Greg Shields
Brealey & Myers on Corporate Finance: Financing and Risk Management
Richard A. Brealey
The Oxford Guide to Financial Modeling: Applications for Capital Markets, Corporate Finance, Risk Management and Financial Institutions
Thomas S.Y. Ho
The Handbook of Risk Management: Implementing a Post-Crisis Corporate Culture (The Wiley Finance Series)
Philippe Carrel
Corporate Governance and Risk: A Systems Approach (Wiley Finance)
John C. Shaw
Islamic Finance and Economic Development: Risk, Regulation, and Corporate Governance (Wiley Finance)
Amr Mohamed El Tiby
Measuring Corporate Default Risk (Clarendon Lectures in Finance)
Darrell Duffie
Investing in Corporate Bonds and Credit Risk (Finance and Capital Markets Series)
Frank Hagenstein
Private Company Valuation: How Credit Risk Reshaped Equity Markets and Corporate Finance Valuation Tools (Global Financial Markets)
Gianluca Oricchio
The Law of Corporate Finance: General Principles and EU Law: Volume I: Cash Flow, Risk, Agency, Information
Petri Mäntysaari
Mergers and Acquisitions (Financial Risk Management Series: Corporate Finance)
Brian Coyle
Corporate Financial Risk Management: Practical Techniques of Financial Engineering (Wiley Finance)
Diane B. Wunnicke
Corporate Risk Management for International Business (Accounting, Finance, Sustainability, Governance & Fraud: Theory and Application)
Ayse Kucuk Yilmaz
Dynamics of Responsibility and Risk in Corporate and Wholesale Finance (Loughborough University Banking Centre Research Paper)
Barry Howcroft
The Oxford Guide to Financial Modeling: Applications for Capital Markets, Corporate Finance, Risk Management and Financial Institutions by Ho, Thomas S. Y., Lee, Sang Bin 1st edition (2004) Hardcover
Unknown Author
Financial Return Risk and the Effect on Shareholder Wealth: How M&A Announcements and Banking Crisis Events Affect Stock Mean Returns and Stock Return ... Industries (Corporate Finance and Governance)
Malte Helmut Raudszus
Capital Structuring (Risk Management Series: Corporate Finance)
Brian Coyle
Exchange risk and corporate international finance
Robert Z. Aliber
Mergers and Acquisitions (Risk Management Series: Corporate Finance)
Brian Coyle