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1.
Bayesian risk management : a guide to model risk and sequential learning in financial markets / Matt Sekerke. by Series: Wiley finance seriesPublisher: Hoboken, New Jersey : John Wiley & Sons, Inc., [2015]Copyright date: ©2015
Availability: Items available for loan: PERPUSTAKAAN TUN SERI LANANG (1)Call number: HG106.S453.

2.
Empirical analysis of VaR and CVaR by the utilization of GARCH models and extreme value theory : evidence from Malaysian stock market / Mohamed Amraja Mohamed. by Producer: 2013
Dissertation note: Thesis (Ph.D.) - Universiti Kebangsaan Malaysia, 2013.
Availability: Items available for loan: PERPUSTAKAAN TUN SERI LANANG (1)Call number: QA276.M836 2013 tesis.

3.
Financial contagion : the viral threat to the wealth of nations / Robert W. Kolb, editor. by Series: Robert W. Kolb series in finance
Publication details: Hoboken, N.J. : Wiley, 2011
Online resources:
Availability: Items available for loan: PERPUSTAKAAN TUN SERI LANANG (1)Call number: HB3722.F536.

4.
Financial contagion : the viral threat to the wealth of nations / Robert W. Kolb, editor. by Series: Robert W. Kolb series in finance
Publication details: Hoboken, N.J. : Wiley, 2011
In: Wiley e-books
Online resources:
Availability: No items available.

5.
Financial risk forecasting : the theory and practice of forecasting market risk, with implementation in R and Matlab / Jon Danielsson. by Series: Wiley finance series
Publication details: Chichester : John Wiley, 2011
Availability: Items available for loan: PERPUSTAKAAN TUN SERI LANANG (1)Call number: HD61.D343.

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Financial risk management for Islamic banking and finance / Ioannis Akkizidis and Sunil Kumar Khandelwal by Series: Finance and capital markets series
Publication details: New York : Palgrave MacMillan, 2008
Availability: Items available for loan: PERPUSTAKAAN TUN SERI LANANG (1)Call number: HD61.A335 ki.

9.
Fund managers' performance : effect of risk tolerance / Fauziah Mahat, Noor Azman Ali. by
Publication details: Serdang, Selangor : Univeristi Putra Malaysia Press, 2012
Availability: Items available for loan: PERPUSTAKAAN TUN SERI LANANG (1)Call number: HG4621.F348.

10.
The future of futures : the time of money in financing and society / Elena Esposito. by
Publication details: Cheltenham : Edward Elgar, 2011
Availability: Items available for loan: PERPUSTAKAAN TUN SERI LANANG (1)Call number: HG6024.A3E828.

11.
Global risk/global opportunity : ten essential tools for tracking minds, markets & money / Shlomo Maital, D.V.R. Seshadri by
Publication details: New Delhi, India : Response Books, 2010
Availability: Items available for loan: PERPUSTAKAAN TUN SERI LANANG (2)Call number: HD61.M336, ...

12.
إدارة المخاطر في المصارف الإسلامية / Idarat al-makhatir fi al-masarif al-Islamiyah / 'Abd al-Nasir Barani Abu Shahd أبو شهد: عبد الناصر براني by Publication details: عمان : دار النفائس، 2013
Publication details: 'Amman : Dar al-Nafa'is, 2013
Availability: Items available for loan: PERPUSTAKAAN TUN SERI LANANG (1)Call number: HD61.A2879 ki.

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Isu kontemporari pengurusan risiko enterprais perniagaan / Rubayah Yakob, Hawati Janor. by Publisher: Bangi, Selangor : Penerbit Universiti Kebangsaan Malaysia, 2018Copyright date: ©2018
Availability: Items available for loan: PERPUSTAKAAN TUN SERI LANANG (2)Call number: HD61.R834, ...

15.
Kompetensi dalam pengurusan risiko operasi perbankan Islam / Mohd. Fodli Hamzah [and three others]. by Publisher: Kangar, Perlis : Penerbit UniMAP, 2025Copyright date: ©2025
Availability: Items available for loan: PERPUSTAKAAN TUN SERI LANANG (1)Call number: HG1615.7.T7.K66 ki.

16.
Managing commodity price risk : a supply chain perspective/ George A. Zsidisin, Janet L. Hartley by Series: The supply and operations management collection
Publication details: New York, NY : Business Expert Press, c2012
Availability: Items available for loan: PERPUSTAKAAN TUN SERI LANANG (1)Call number: HB221.Z776.

17.
Managing risk in the financial system / edited by John Raymond LaBrosse, Rodrigo Olivares-Caminal, Dalvinder Singh. by
Publication details: Cheltenham, UK : Edward Elgar, 2011
Availability: Items available for loan: PERPUSTAKAAN UNDANG-UNDANG (1)Call number: C47.1.M339 2.

18.
Managing risks in commercial and retail banking / Amalendu Ghosh. by Series:
Publication details: Hoboken, N. J. : John Wiley & Sons, 2012
Availability: Items available for loan: PERPUSTAKAAN TUN SERI LANANG (1)Call number: HG1615.G496.

19.
Manajemen risiko : teori, kasus dan solusi / Irham Fahmi. by
Publication details: Bandung, Indonesia : Penerbit ALFABETA, 2010
Availability: Items available for loan: PERPUSTAKAAN TUN SERI LANANG (1)Call number: HG173.F334.

20.
Operational risk toward Basel III : best practices and issues in modeling, management and regulation / [edited by] Greg N. Gregoriou. by Series: Wiley finance series
Publication details: Hoboken, N.J. : John Wiley & Sons, 2009
Availability: Items available for loan: PERPUSTAKAAN TUN SERI LANANG (1)Call number: HG3881.O635.

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