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    <title>Αποτελέσματα για "Financial risk management"</title>
    <description>Εμφανίζονται 1-14 από 14</description>
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      <title>Συμπεριφορική χρηματοοικονομική : εισαγωγικά στοιχεία /</title>
      <pubDate>Tue, 01 Jan 2008 18:07:35 +0200</pubDate>
      <link>http://okeanos.lib.unipi.gr/Record/1%2F34810</link>
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      <author>Αλεξάκης, Χρήστος Α.</author>
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      <dc:date>2008</dc:date>
      <dc:creator>Αλεξάκης, Χρήστος Α.</dc:creator>
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      <title>Corporate financial risk management : practical techniques of financial engineering /</title>
      <pubDate>Wed, 01 Jan 1992 18:07:35 +0200</pubDate>
      <link>http://okeanos.lib.unipi.gr/Record/1%2F35268</link>
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      <author>Wunnicke, Diane B.</author>
      <dc:format>Book</dc:format>
      <dc:date>1992</dc:date>
      <dc:creator>Wunnicke, Diane B.</dc:creator>
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      <title>Elements of financial risk management</title>
      <pubDate>Wed, 01 Jan 2003 18:07:35 +0200</pubDate>
      <link>http://okeanos.lib.unipi.gr/Record/1%2F37761</link>
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      <author>Christoffersen, Peter F.</author>
      <dc:format>Electronic</dc:format>
      <dc:date>2003</dc:date>
      <dc:creator>Christoffersen, Peter F.</dc:creator>
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      <title>Derivatives : markets, valuation, and risk management /</title>
      <pubDate>Sun, 01 Jan 2006 18:07:35 +0200</pubDate>
      <link>http://okeanos.lib.unipi.gr/Record/1%2F44013</link>
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      <author>Whaley, Robert E.</author>
      <dc:format>Book</dc:format>
      <dc:date>2006</dc:date>
      <dc:creator>Whaley, Robert E.</dc:creator>
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      <title>A practical guide to risk management /</title>
      <pubDate>Sat, 01 Jan 2011 18:07:35 +0200</pubDate>
      <link>http://okeanos.lib.unipi.gr/Record/1%2F44015</link>
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      <author>Coleman, Thomas Sedgwick, 1955-</author>
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      <dc:date>2011</dc:date>
      <dc:creator>Coleman, Thomas Sedgwick, 1955-</dc:creator>
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      <title>Elements of financial risk management /</title>
      <pubDate>Sun, 01 Jan 2012 18:07:35 +0200</pubDate>
      <link>http://okeanos.lib.unipi.gr/Record/1%2F44044</link>
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      <author>Christoffersen, Peter F.</author>
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      <dc:date>2012</dc:date>
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      <title>Credit risk management : basic concepts : financial risk components, rating analysis, models, economic and regulatory capital /</title>
      <pubDate>Thu, 01 Jan 2009 18:07:35 +0200</pubDate>
      <link>http://okeanos.lib.unipi.gr/Record/1%2F44049</link>
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      <author>Gestel, Tony van.</author>
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      <dc:date>2009</dc:date>
      <dc:creator>Gestel, Tony van.</dc:creator>
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      <title>The VaR implementation handbook /</title>
      <pubDate>Thu, 01 Jan 2009 18:07:35 +0200</pubDate>
      <link>http://okeanos.lib.unipi.gr/Record/1%2F44064</link>
      <guid>http://okeanos.lib.unipi.gr/Record/1%2F44064</guid>
      <dc:format>Book</dc:format>
      <dc:date>2009</dc:date>
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      <title>Infrastructure investing : managing risks &amp; rewards for pensions, insurance companies &amp; endowments /</title>
      <pubDate>Fri, 01 Jan 2010 18:07:35 +0200</pubDate>
      <link>http://okeanos.lib.unipi.gr/Record/1%2F42532</link>
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      <author>Sawant, Rajeev J.</author>
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      <dc:date>2010</dc:date>
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      <title>Risk finance and asset pricing : value, measurements, and markets /</title>
      <pubDate>Fri, 01 Jan 2010 18:07:35 +0200</pubDate>
      <link>http://okeanos.lib.unipi.gr/Record/1%2F42546</link>
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      <author>Tapiero, Charles S.</author>
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      <dc:date>2010</dc:date>
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      <title>Χρήμα, τράπεζες, αγορές και διαχείριση κινδύνων /</title>
      <pubDate>Mon, 01 Jan 2018 18:07:35 +0200</pubDate>
      <link>http://okeanos.lib.unipi.gr/Record/1%2F48504</link>
      <guid>http://okeanos.lib.unipi.gr/Record/1%2F48504</guid>
      <author>Σχοινιωτάκης, Νικόλαος.</author>
      <dc:format>Book</dc:format>
      <dc:date>2018</dc:date>
      <dc:creator>Σχοινιωτάκης, Νικόλαος.</dc:creator>
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      <title>Alternative risk strategies /</title>
      <pubDate>Tue, 01 Jan 2002 18:07:35 +0200</pubDate>
      <link>http://okeanos.lib.unipi.gr/Record/1%2F48778</link>
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      <dc:format>Book</dc:format>
      <dc:date>2002</dc:date>
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      <title>Mastering value at risk book : a step-by-step guide to understanding and applying VaR /</title>
      <pubDate>Fri, 01 Jan 1999 18:07:35 +0200</pubDate>
      <link>http://okeanos.lib.unipi.gr/Record/1%2F47321</link>
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      <author>Butler, Cormac.</author>
      <dc:format>Book</dc:format>
      <dc:date>1999</dc:date>
      <dc:creator>Butler, Cormac.</dc:creator>
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      <title>Financial risk management : a practitioner's quide to managing market and credit risk /</title>
      <pubDate>Tue, 01 Jan 2013 18:07:35 +0200</pubDate>
      <link>http://okeanos.lib.unipi.gr/Record/1%2F45855</link>
      <guid>http://okeanos.lib.unipi.gr/Record/1%2F45855</guid>
      <author>Allen, Steven, 1945-</author>
      <dc:format>Book</dc:format>
      <dc:date>2013</dc:date>
      <dc:creator>Allen, Steven, 1945-</dc:creator>
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