충남대학교외국학술지지원센터

글로벌메뉴

  • HOME
  • sitemap

주메뉴


CNU Search

검색 타입
상세검색
검색어[키워드 / 전체:Management]
802건 중 500건 출력
19/50 페이지 엑셀파일 출력

검색간략리스트

열거형 테이블형
검색리스트 테이블
No 자료
유형
서명 저자 발행처 원문제공시작년 수록
매체
181 저널기사 European Regulatory Update RMA's representative in Europe provides a roundup of the latest regulatory developments in the European banking sector 미리보기
Shaw, Steve Risk Management Association 2017
182 저널기사 Are You Ready for the New Consumer Compliance Rating System? 미리보기
Mendes, Stella; Rives, Jim Risk Management Association 2017
183 저널기사 Risky Business: Assessing the Insurance Risk of a Contractor (Part 2 of 3) 미리보기
Strischek, Dev Risk Management Association 2017
184 저널기사 Tenant Tenets: Managing CRE Tenant Concentration Risk When faced with the risk of CRE concentrations, banks are expected to monitor and manage that risk using powerful management information systems that stratify portfolios in a variety of ways 미리보기
McCarthy, Maureen R. Risk Management Association 2017
185 저널기사 Redlining: A Continuing Compliance Risk 미리보기
Mason, Bernard Risk Management Association 2017
186 저널기사 The Impact of Hurricanes on Banking Operations: Preparation and Recovery 미리보기
Ramani, Mo Risk Management Association 2017
187 저널기사 Flying Blind into the Next Recession? Consult a Business-Cycle Checklist 미리보기
Buczynski, Rick; Brown, Kenneth I. Risk Management Association 2017
188 저널기사 On the EVE of a Perfect Storm The combination of unexpected earnings cliffs, equity-to-assets ratios diminished by unrealized AFS losses, and an overdependence on large, out-of-market liabilities creates the conditions for a perfect storm 미리보기
Lee, David R. Risk Management Association 2017
189 저널기사 RMA's Chapter Leaders Conference Encourages Learning, Networking, and Promoting the Next Generation of Talent Financial professionals gathered in Arizona for RMA's annual Chapter Leaders Conference. This year's theme was the 1970s, but looking groovy and funky was not required 미리보기
Krasowski, Stephen Risk Management Association 2017
190 저널기사 Risk Management and Data Science: A Future Together As markets become more volatile, meeting management expectations will require risk managers to be familiar with credit, market, and operational risk, and to develop an integrated risk framework recognizing the relationship between each while leveraging technology and data management practices 미리보기
Iraci, Joseph; Howell, Randal S. Risk Management Association 2017
맨앞 이전 11 12 13 14 15 16 17 18 19 20 다음 맨뒤

하단메뉴