Please use this identifier to cite or link to this item: 192.168.6.56/handle/123456789/31966
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dc.contributor.authorFrancisco Javier Población García-
dc.date.accessioned2018-12-27T11:48:34Z-
dc.date.accessioned2020-05-06T19:51:10Z-
dc.date.accessioned2020-05-10T17:53:01Z-
dc.date.available2018-12-27T11:48:34Z-
dc.date.available2020-05-06T19:51:10Z-
dc.date.available2020-05-10T17:53:01Z-
dc.date.issued2017-
dc.identifier.isbn978-3-319-41366-2-
dc.identifier.urihttp://196.189.45.87:8080/handle/123456789/31966-
dc.descriptionIn recent times, risk analysis and management has become of great importance in the world of business, but unfortunately, as highlighted by the deep economic crisis we have become immersed in, this management has not always been based on purely financial criteria, mainly due to ignorance of such in certain areas. Perhaps that is what has driven me to write this book.en_US
dc.language.isoenen_US
dc.publisherPalgrave Macmillanen_US
dc.subjectRisk managementen_US
dc.titleFinancial Risk Management: Identification, Measurement and Managementen_US
dc.typeBooken_US
Appears in Collections:Public Administration & Development Management

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