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301. Enterprise Risk Management: Modern Approaches to Balancing Risk and Reward
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302. Advances in Pacific Basin Business, Economics and Finance: 13
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303. Enterprise Risk Management: Modern Approaches to Balancing Risk and Reward
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304. Capital Markets, Sixth Edition: Institutions, Instruments, and Risk Management
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305. Capital Markets, Sixth Edition: Institutions, Instruments, and Risk Management
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306. Capital Markets, Sixth Edition: Institutions, Instruments, and Risk Management
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307. Information Systems in Accounting and Finance: a European Perspective
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2025, Palgrave Macmillan
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308. Capital Markets, Sixth Edition: Institutions, Instruments, and Risk Management
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309. Green and Sustainable Finance: Principles and Practice in Banking, Investment and Insurance
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310. Risk Analysis in Finance and Insurance
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311. Risk Analysis in Finance and Insurance
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312. Risk Analysis in Finance and Insurance
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313. Green and Sustainable Finance: Principles and Practice in Banking, Investment and Insurance (Chartered Banker Series)
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314. Risk Analysis in Finance and Insurance
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315. Risk Analysis in Finance and Insurance
by Melnikov, Alexander
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316. Shocks, Crises, and False Alarms: How to Assess True Macroeconomic Risk
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2024, Harvard Business Review Press
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317. Shocks, Crises, and False Alarms: How to Assess True Macroeconomic Risk
by Carlsson-Szlezak, Philipp|Swartz, Paul
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318. Shocks, Crises, and False Alarms: How to Assess True Macroeconomic Risk
by Carlsson-Szlezak, Philipp; Swartz, Paul
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2024, Harvard Business Review Press
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