logo budschisino.tk BUDSCHISINO.TK | Личный кабинет | Наши Контакты | Доставка товара

Browne Abdullah Bonaparte in Egypt and the Egyptians of To-day

Matt Sekerke Bayesian Risk Management. A Guide to Model and Sequential Learning in Financial Markets


A risk measurement and management framework that takes model risk seriously Most financial risk models assume the future will look like the past, but effective risk management depends on identifying fundamental changes in the marketplace as they occur. Bayesian Risk Management details a more flexible approach to risk management, and provides tools to measure financial risk in a dynamic market environment. This book opens discussion about uncertainty in model parameters, model specifications, and model-driven forecasts in a way that standard statistical risk measurement does not. And unlike current machine learning-based methods, the framework presented here allows you to measure risk in a fully-Bayesian setting without losing the structure afforded by parametric risk and asset-pricing models. Recognize the assumptions embodied in classical statistics Quantify model risk along multiple dimensions without backtesting Model time series without assuming stationarity Estimate state-space time series models online with simulation methods Uncover uncertainty in workhorse risk and asset-pricing models Embed Bayesian thinking about risk within a complex organization Ignoring uncertainty in risk modeling creates an illusion of mastery and fosters erroneous decision-making. Firms who ignore the many dimensions of model risk measure too little risk, and end up taking on too much. Bayesian Risk Management provides a roadmap to better risk management through more circumspect measurement, with comprehensive treatment of model uncertainty.

5885.39 РУБ

похожие

Подробнее

Valentine Tim Forensic Facial Identification. Theory and Practice of Identification from Eyewitnesses, Composites CCTV


Forensic Facial Identification discusses the latest scientific and technical advancements in the field and their implications for practice in psychology, criminology, and law. Provides an up-to-date set of best practices for forensic facial identification Reviews current procedures for different facial identification methods and their reliability Covers eyewitness testimony, line-ups, facial composites, anthropological face reconstructions, CCTV images, and computerized automatic face recognition systems Incorporates case studies which put the latest research and technology in the proper legal context

4085.08 РУБ

похожие

Подробнее

Frances Cowell Crisis Wasted?. Leading Risk Managers on Culture


Effective risk management in today’s ever-changing world Crisis Wasted? Leading Risk Managers on Risk Culture sheds light on today’s risk management landscape through a unique collection of interviews from risk leaders in both the banking and investment industries. These interviews zero in on the risk culture of organisations, effective risk management in practice, and the sometimes paradoxical effects of new regulations and how they affect decision-making in financial organisations They offer genuine insight into regulatory processes and priorities and their implications for the stability of the global financial system. As trending topics in the risk management field, each of these subject areas is relevant to the work of today’s risk management professionals. In addition to the forward-focused text, this reference provides access to a wealth of premium online content. Risk management has become an area of focus for companies since the financial crises that shook the international community over the past decade, but, despite high levels of introspection and changes to key processes, many financial houses are still experiencing large losses. Understanding today’s risk environment can help you improve risk management tactics. Access essential information both in print and online Discover the most important topics in today’s risk management field Explore interviews with 1 risk management leaders Learn about ground-breaking recent innovations in risk management thinking Crisis Wasted? Leading Risk Managers on Risk Culture is an integral resource for professionals responsible for minimising organisational risk, as well as those who want to better understand the risk culture of today’s world.

4026.85 РУБ

похожие

Подробнее

Wei Chen Financial Risk Management. Applications in Market, Credit, Asset and Liability Management Firmwide


A global banking risk management guide geared toward the practitioner Financial Risk Management presents an in-depth look at banking risk on a global scale, including comprehensive examination of the U.S. Comprehensive Capital Analysis and Review, and the European Banking Authority stress tests. Written by the leaders of global banking risk products and management at SAS, this book provides the most up-to-date information and expert insight into real risk management. The discussion begins with an overview of methods for computing and managing a variety of risk, then moves into a review of the economic foundation of modern risk management and the growing importance of model risk management. Market risk, portfolio credit risk, counterparty credit risk, liquidity risk, profitability analysis, stress testing, and others are dissected and examined, arming you with the strategies you need to construct a robust risk management system. The book takes readers through a journey from basic market risk analysis to major recent advances in all financial risk disciplines seen in the banking industry. The quantitative methodologies are developed with ample business case discussions and examples illustrating how they are used in practice. Chapters devoted to firmwide risk and stress testing cross reference the different methodologies developed for the specific risk areas and explain how they work together at firmwide level. Since risk regulations have driven a lot of the recent practices, the book also relates to the current global regulations in the financial risk areas. Risk management is one of the fastest growing segments of the banking industry, fueled by banks fundamental intermediary role in the global economy and the industrys profit-driven increase in risk-seeking behavior. This book is the product of the authors experience in developing and implementing risk analytics in banks around the globe, giving you a comprehensive, quantitative-oriented risk management guide specifically for the practitioner. Compute and manage market, credit, asset, and liability risk Perform macroeconomic stress testing and act on the results Get up to date on regulatory practices and model risk management Examine the structure and construction of financial risk systems Delve into funds transfer pricing, profitability analysis, and more Quantitative capability is increasing with lightning speed, both methodologically and technologically. Risk professionals must keep pace with the changes, and exploit every tool at their disposal. Financial Risk Management is the practitioners guide to anticipating, mitigating, and preventing risk in the modern banking industry.

5885.39 РУБ

похожие

Подробнее

Imam Wahyudi Risk Management for Islamic Banks. Recent Developments from Asia and the Middle East


Gain insight into the unique risk management challenges within the Islamic banking system Risk Management for Islamic Banks: Recent Developments from Asia and the Middle East analyzes risk management strategies in Islamic banking, presented from the perspectives of different banking institutions. Using comprehensive global case studies, the book details the risks involving various banking institutions in Indonesia, Malaysia, UAE, Bahrain, Pakistan, and Saudi Arabia, pointing out the different management strategies that arise as a result of Islamic banking practices. Readers gain insight into risk management as a comprehensive system, and a process of interlinked continuous cycles that integrate into every business activity within Islamic banks. The unique processes inherent in Islamic banking bring about complex risks not experienced by traditional banks. From Shariah compliance, to equity participation contracts, to complicated sale contracts, Islamic banks face unique market risks. Risk Management for Islamic Banks covers the creation of an appropriate risk management environment, as well as a stage-based implementation strategy that includes risk identification, measurement, mitigation, monitoring, controlling, and reporting. The book begins with a discussion of the philosophy of risk management, then delves deeper into the issue with topics like: Risk management as an integrated system The history, framework, and process of risk management in Islamic banking Financing, operational, investment, and market risk Shariah compliance and associated risk The book also discusses the future potential and challenges of Islamic banking, and outlines the risk management pathway. As an examination of the wisdom, knowledge, and ideal practice of Islamic banking, Risk Management for Islamic Banks contains valuable insights for those active in the Islamic market.

5203.93 РУБ

похожие

Подробнее

Imam Wahyudi Risk Management for Islamic Banks


Gain insight into the unique risk management challenges within the Islamic banking system Risk Management for Islamic Banks: Recent Developments from Asia and the Middle East analyzes risk management strategies in Islamic banking, presented from the perspectives of different banking institutions. Using comprehensive global case studies, the book details the risks involving various banking institutions in Indonesia, Malaysia, UAE, Bahrain, Pakistan, and Saudi Arabia, pointing out the different management strategies that arise as a result of Islamic banking practices. Readers gain insight into risk management as a comprehensive system, and a process of interlinked continuous cycles that integrate into every business activity within Islamic banks. The unique processes inherent in Islamic banking bring about complex risks not experienced by traditional banks. From Shariah compliance, to equity participation contracts, to complicated sale contracts, Islamic banks face unique market risks. Risk Management for Islamic Banks covers the creation of an appropriate risk management environment, as well as a stage-based implementation strategy that includes risk identification, measurement, mitigation, monitoring, controlling, and reporting. The book begins with a discussion of the philosophy of risk management, then delves deeper into the issue with topics like: Risk management as an integrated system The history, framework, and process of risk management in Islamic banking Financing, operational, investment, and market risk Shariah compliance and associated risk The book also discusses the future potential and challenges of Islamic banking, and outlines the risk management pathway. As an examination of the wisdom, knowledge, and ideal practice of Islamic banking, Risk Management for Islamic Banks contains valuable insights for those active in the Islamic market.

5203.93 РУБ

похожие

Подробнее

Flanagan Dawn P. Essentials of Specific Learning Disability Identification


Complete coverage on how SLD manifests in academic performance Expert advice on theory- and research-based approaches to SLD identification Conveniently formatted for rapid reference Quickly acquire the knowledge and skills you need to accurately identify specific learning disabilities Essentials of Specific Learning Disability Identification provides a brief overview examining the definitions and classification systems of—and methods for—identification of specific learning disabilities (SLDs). Focusing on descriptive efforts of the manifestations of SLDs in the academically critical areas of reading, writing, math, oral expression, and listening comprehension, this book features contributions by leading experts in the field, including Virginia Berninger, Steven Feifer, Jack Fletcher, Nancy Mather, Jack Naglieri, and more. Like all the volumes in the Essentials of Psychological Assessment series, each concise chapter features numerous callout boxes highlighting key concepts, bulleted points, and extensive illustrative material, as well as test questions that help you gauge and reinforce your grasp of the information covered. With multiple perspectives spanning several different theoretical orientations and offering various approaches to SLD identification that can be put into practice right away—from RTI methods to cognitive strengths and weaknesses approaches—this book offers important content for professionals who work with children and youth at risk for learning disabilities. With a Foreword by Cecil Reynolds, Essentials of Specific Learning Disability Identification presents rich and up-to-date information on models and methods of SLD identification.

3717.09 РУБ

похожие

Подробнее

Terje Aven Risk Analysis


Risk Analysis, Second Edition Terje Aven, University of Stavanger, Norway A practical guide to the varied challenges presented in the ever-growing field of risk analysis. Risk Analysis presents an accessible and concise guide to performing risk analysis, in a wide variety of field, with minimal prior knowledge required. Forming an ideal companion volume to Avens previous Wiley text Foundations of Risk Analysis, it provides clear recommendations and guidance in the planning, execution anduse of risk analysis. This new edition presents recent developments related to risk conceptualization, focusing on related issues on risk assessment and their application. New examples are also featured to clarify the readers understanding in the application of risk analysis and the risk analysis process. Key features: Fully updated to include recent developments related to risk conceptualization and related issues on risk assessments and their applications. Emphasizes the decision making context of risk analysis rather than just computing probabilities Demonstrates how to carry out predictive risk analysis using a variety of case studies and examples. Written by an experienced expert in the field, in a style suitable for both industrial and academic audiences. This book is ideal for advanced undergraduates, graduates, analysts and researchers from statistics, engineering, finance, medicine and physical sciences. Managers facing decision making problems involving risk and uncertainty will also benefit from this book.

5439.9 РУБ

похожие

Подробнее

Allan Malz M. Financial Risk Management. Models, History, and Institutions


Financial risk has become a focus of financial and nonfinancial firms, individuals, and policy makers. But the study of risk remains a relatively new discipline in finance and continues to be refined. The financial market crisis that began in 2007 has highlighted the challenges of managing financial risk. Now, in Financial Risk Management, author Allan Malz addresses the essential issues surrounding this discipline, sharing his extensive career experiences as a risk researcher, risk manager, and central banker. The book includes standard risk measurement models as well as alternative models that address options, structured credit risks, and the real-world complexities or risk modeling, and provides the institutional and historical background on financial innovation, liquidity, leverage, and financial crises that is crucial to practitioners and students of finance for understanding the world today. Financial Risk Management is equally suitable for firm risk managers, economists, and policy makers seeking grounding in the subject. This timely guide skillfully surveys the landscape of financial risk and the financial developments of recent decades that culminated in the crisis. The book provides a comprehensive overview of the different types of financial risk we face, as well as the techniques used to measure and manage them. Topics covered include: Market risk, from Value-at-Risk (VaR) to risk models for options Credit risk, from portfolio credit risk to structured credit products Model risk and validation Risk capital and stress testing Liquidity risk, leverage, systemic risk, and the forms they take Financial crises, historical and current, their causes and characteristics Financial regulation and its evolution in the wake of the global crisis And much more Combining the more model-oriented approach of risk management-as it has evolved over the past two decades-with an economists approach to the same issues, Financial Risk Management is the essential guide to the subject for todays complex world.

5885.39 РУБ

похожие

Подробнее

Pavel Shevchenko V. Fundamental Aspects of Operational Risk and Insurance Analytics. A Handbook


A one-stop guide for the theories, applications, and statistical methodologies essential to operational risk Providing a complete overview of operational risk modeling and relevant insurance analytics, Fundamental Aspects of Operational Risk and Insurance Analytics: A Handbook of Operational Risk offers a systematic approach that covers the wide range of topics in this area. Written by a team of leading experts in the field, the handbook presents detailed coverage of the theories, applications, and models inherent in any discussion of the fundamentals of operational risk, with a primary focus on Basel II/III regulation, modeling dependence, estimation of risk models, and modeling the data elements. Fundamental Aspects of Operational Risk and Insurance Analytics: A Handbook of Operational Risk begins with coverage on the four data elements used in operational risk framework as well as processing risk taxonomy. The book then goes further in-depth into the key topics in operational risk measurement and insurance, for example diverse methods to estimate frequency and severity models. Finally, the book ends with sections on specific topics, such as scenario analysis; multifactor modeling; and dependence modeling. A unique companion with Advances in Heavy Tailed Risk Modeling: A Handbook of Operational Risk, the handbook also features: Discussions on internal loss data and key risk indicators, which are both fundamental for developing a risk-sensitive framework Guidelines for how operational risk can be inserted into a firm’s strategic decisions A model for stress tests of operational risk under the United States Comprehensive Capital Analysis and Review (CCAR) program A valuable reference for financial engineers, quantitative analysts, risk managers, and large-scale consultancy groups advising banks on their internal systems, the handbook is also useful for academics teaching postgraduate courses on the methodology of operational risk.

11945.8 РУБ

похожие

Подробнее

Terje Aven Uncertainty in Risk Assessment. The Representation and Treatment of Uncertainties by Probabilistic Non-Probabilistic Methods


Explores methods for the representation and treatment of uncertainty in risk assessment In providing guidance for practical decision-making situations concerning high-consequence technologies (e.g., nuclear, oil and gas, transport, etc.), the theories and methods studied in Uncertainty in Risk Assessment have wide-ranging applications from engineering and medicine to environmental impacts and natural disasters, security, and financial risk management. The main focus, however, is on engineering applications. While requiring some fundamental background in risk assessment, as well as a basic knowledge of probability theory and statistics, Uncertainty in Risk Assessment can be read profitably by a broad audience of professionals in the field, including researchers and graduate students on courses within risk analysis, statistics, engineering, and the physical sciences. Uncertainty in Risk Assessment: Illustrates the need for seeing beyond probability to represent uncertainties in risk assessment contexts. Provides simple explanations (supported by straightforward numerical examples) of the meaning of different types of probabilities, including interval probabilities, and the fundamentals of possibility theory and evidence theory. Offers guidance on when to use probability and when to use an alternative representation of uncertainty. Presents and discusses methods for the representation and characterization of uncertainty in risk assessment. Uses examples to clearly illustrate ideas and concepts.

7308.15 РУБ

похожие

Подробнее

Pavel Shevchenko V. Advances in Heavy Tailed Risk Modeling. A Handbook of Operational


A cutting-edge guide for the theories, applications, and statistical methodologies essential to heavy tailed risk modeling Focusing on the quantitative aspects of heavy tailed loss processes in operational risk and relevant insurance analytics, Advances in Heavy Tailed Risk Modeling: A Handbook of Operational Risk presents comprehensive coverage of the latest research on the theories and applications in risk measurement and modeling techniques. Featuring a unique balance of mathematical and statistical perspectives, the handbook begins by introducing the motivation for heavy tailed risk processes in high consequence low frequency loss modeling. With a companion, Fundamental Aspects of Operational Risk and Insurance Analytics: A Handbook of Operational Risk, the book provides a complete framework for all aspects of operational risk management and includes: Clear coverage on advanced topics such as splice loss models, extreme value theory, heavy tailed closed form loss distributional approach models, flexible heavy tailed risk models, risk measures, and higher order asymptotic approximations of risk measures for capital estimation An exploration of the characterization and estimation of risk and insurance modelling, which includes sub-exponential models, alpha-stable models, and tempered alpha stable models An extended discussion of the core concepts of risk measurement and capital estimation as well as the details on numerical approaches to evaluation of heavy tailed loss process model capital estimates Numerous detailed examples of real-world methods and practices of operational risk modeling used by both financial and non-financial institutions Advances in Heavy Tailed Risk Modeling: A Handbook of Operational Risk is an excellent reference for risk management practitioners, quantitative analysts, financial engineers, and risk managers. The book is also a useful handbook for graduate-level courses on heavy tailed processes, advanced risk management, and actuarial science.

11583.83 РУБ

похожие

Подробнее

Afzal abdullah sharafat muhammad arif asif rao risk identification in. Risk Identification in Construction Industry von Abdullah ...

Construction industry operates in very uncertain situations subject to various kinds of risks arise during the execution of a project. This research was conducted to identify key risks factors involved during execution of a project, risk categories, latest trends/ practices in risk identification techniques, risk prevention and risk reduction ...

Muhammad Afzal - Pakistan | Professional Profile | LinkedIn

View Muhammad Afzal’s professional profile on LinkedIn. LinkedIn is the world's largest business network, helping professionals like Muhammad Afzal discover inside connections to recommended job candidates, industry experts, and business partners.

Sharafat Sharaf | Facebook

Sharafat Sharaf is on Facebook. Join Facebook to connect with Sharafat Sharaf and others you may know. Facebook gives people the power to share and makes...

Hafiz Sharafat | Facebook

Hafiz Sharafat is on Facebook. Join Facebook to connect with Hafiz Sharafat and others you may know. Facebook gives people the power to share and makes...

Amazon.it: Risk Identification in Construction Industry ...

Compra Risk Identification in Construction Industry: Identification of Risk Factors, Risk Prevention & Reduction Methods associated to Pakistan's Construction Industry. SPEDIZIONE GRATUITA su ordini idonei

Abdullah Afzal - Financial Analyst (REGENT MEDICAL ...

View Abdullah Afzal’s profile on LinkedIn, the world's largest professional community. Abdullah has 4 jobs listed on their profile. See the complete profile on LinkedIn and discover Abdullah’s connections and jobs at similar companies.

Afzal abdullah sharafat muhammad arif asif rao muhammad ...

afzal abdullah sharafat muhammad arif asif rao muhammad risk identification in construction industry купить по лучшей цене Футболка классическая — цвет: ЧЁРНЫЙ, пол: МУЖ, качество: ЭКОНОМ. Для поклонников американского боксера Muhammad Ali ...

ZAKIR Sharafat Hussain Rakat Majlis 2018 pipli Rajan bahawapur Punjab

ZAKIR Sharafat Hussain Rakat Majlis 2018 pipli Rajan bahawapur #Aliwaris110 ..... Zakir Sajid Hussain Bukhari 15 Rajab 2018 .....

University of Agriculture Faisalabad Dated: 14/09/2015 1st ...

Page No. 2 / University of Agriculture Faisalabad Dated: 14/09/2015 1st Merit List of Provisionally Selected Candidates For the Degree: M.Sc. Mathematics ( Weekend Program ) Last Date For Enrollment: 17/09/2015 9

Risk Identification in Construction Industry: Amazon.es ...

Risk Identification in Construction Industry: Amazon.es: Afzal Abdullah, Sharafat Muhammad Arif, Asif Rao Muhammad: Libros en idiomas extranjeros Saltar al contenido principal. Prueba Prime Hola, Identifícate Cuenta y listas Identifícate Cuenta y listas Pedidos ...

Allama Sharafat Abbas Rakat 5 3 2018, Dua Go = Muhammad Arif Kharani, Kot Sultan Layyah

Muhammad Arif Kharani (0300-8762714) Muhammad Arif Kharani (0300-8762714) Skip navigation Sign in. Search. Loading... Close. This video is unavailable. Watch Queue Queue. ...

University of the Punjab

Sharafat Ali Muhammad Mirza Assi Syed Asif Amin Malik Tufail Khokar Muhammad As tam Mohammad Saleem Khan Aqeel Uz Zaman Khan Ghula/ll Sarw.ar Saeed Bashir Ahmad Qaisrani Muhammad Sohanra Chudhray Faqueer Muhammad Khawar Iqbal Muhammad Raifque Mufrih Shah Haq Nawaz Muhammad Aslam lhsan UI Haque Abbsent Abbsent 22 Abbsent A bbsent 22 Abbsent Abbsent Abbsent Abbsent Abbsent 525 67.5 Abbscnt 82.5 ...

Muhammad Afzal - Assistant Manager GGT CAD - US Group ...

View Muhammad Afzal’s profile on LinkedIn, the world's largest professional community. Muhammad has 1 job listed on their profile. See the complete profile on LinkedIn and discover Muhammad’s connections and jobs at similar companies.

Mohammad Afzal Hussain - QA/QC - Alstom | LinkedIn

نبذة عني. I (Mohammad Afzal Hussain) have perused M.S in Electrical/Electronics Telecommunication Engineering from Europe (Sweden) having 16 years of experience ( 3 years in Europe + 9 years Gulf+ 4 years in India) in various sector of designing of electrical and execution projects in Europe and India.

Dr-Muhammad Shawqy | Facebook

Dr-Muhammad Shawqy ist bei Facebook. Tritt Facebook bei, um dich mit Dr-Muhammad Shawqy und anderen Nutzern, die du kennst, zu vernetzen. Facebook gibt...

Afzal abdullah sharafat muhammad arif asif rao risk identification in. 9783659633003: Risk Identification in Construction ...

AbeBooks.com: Risk Identification in Construction Industry (9783659633003) by Afzal Abdullah; Sharafat Muhammad Arif; Asif Rao Muhammad and a great selection of similar New, Used and Collectible Books available now at great prices.

Afzal abdullah sharafat muhammad arif asif rao risk identification in. Risk Identification in Construction Industry ...

Risk Identification in Construction Industry: Identification of Risk Factors, Risk Prevention & Reduction Methods associated to Pakistan's Construction Industry: Amazon.de: Abdullah Afzal, Muhammad Arif Sharafat, Rao Muhammad Asif: Fremdsprachige Bücher

Pride of Performance Awards (2010–2019) - Wikipedia

Pride of Performance (Urdu: تمغۂ حسنِ کارکردگی ‎) is a civil award given by the Government of Pakistan to Pakistani citizens in recognition of distinguished merit in the fields of literature, arts, sports, medicine or science.

Muhammad Afzal - Comprihensive High School - المملكة ...

عرض ملف Muhammad Afzal الشخصي على LinkedIn، أكبر شبكة للمحترفين في العالم. لدى Muhammad4 وظيفة مدرجة على الملف الشخصي عرض الملف الشخصي الكامل على LinkedIn وتعرف على زملاء Muhammad والوظائف في الشركات المماثلة.

Muhammad Arif Sharafat Ali - ResearchGate

A 'read' is counted each time someone views a publication summary (such as the title, abstract, and list of authors), clicks on a figure, or views or downloads the full-text.

Mohammad Arif Afzal | Facebook

Mohammad Arif Afzal is on Facebook. Join Facebook to connect with Mohammad Arif Afzal and others you may know. Facebook gives people the power to share...

Arif Asif Books & Textbooks - BooksPrice.com

Arif Asif Anil K. Agarwal Alexander Yevzlin Steven Wu . McGraw-Hill Education / Medical /2012-07-04 Hardcover / 752 Pages isbn-10: 0071769323 / isbn-13: 9780071769327 / Edition: 1 Book / Textbook Details Add to Comparison Cart

9783659633003: Risk Identification in Construction ...

AbeBooks.com: Risk Identification in Construction Industry (9783659633003) by Afzal Abdullah; Sharafat Muhammad Arif; Asif Rao Muhammad and a great selection of similar New, Used and Collectible Books available now at great prices.

Risk Identification in Construction Industry ...

Risk Identification in Construction Industry: Identification of Risk Factors, Risk Prevention & Reduction Methods associated to Pakistan's Construction Industry: Amazon.de: Abdullah Afzal, Muhammad Arif Sharafat, Rao Muhammad Asif: Fremdsprachige Bücher

Muhammad Arif Afzal | Facebook

Muhammad Arif Afzal is on Facebook. Join Facebook to connect with Muhammad Arif Afzal and others you may know. Facebook gives people the power to share...

Sufi Sharafat Ali Khan Qawwal - Man Atkeya Be Parwah Day Naal

Sufi Sharafat Ali Khan Qawwal from okara punjab pakistan Ustad Nusrat Fathe Ali Khan Qawwal Sakhi Peer Ameer Noshahi Qadri Tahir Faridi Qawwal Sufi Sharafat Ali Rafique Ali Khan Qawwal Haji Jamil ...

Muhammad Arif | Facebook

Muhammad Arif is on Facebook. Join Facebook to connect with Muhammad Arif and others you may know. Facebook gives people the power to share and makes the...

Sharafat Muhammad Arif Libri Inglesi - I Libri Inglesi ...

Sharafat Muhammad Arif Libri Inglesi. Acquista Libri Inglesi Sharafat Muhammad Arif su Libreria Universitaria, oltre 8 milioni di libri a catalogo. Scopri Sconti e Spedizione con Corriere Gratuita!

Risk Identification in Construction Industry: Amazon.co.uk ...

Buy Risk Identification in Construction Industry by Afzal Abdullah, Sharafat Muhammad Arif, Asif Rao Muhammad (ISBN: 9783659633003) from Amazon's Book Store. Everyday low prices and free delivery on eligible orders.

Prof Siara Afzal - The Nation

TLAHORE - The King Edward Medical University has emerged as a beacon of quality in medical education by scoring 90.84 marks in quality and an appreciation letter by higher education commission of Pakistan received recently.

Muhammad Arif | Facebook

Muhammad Arif is on Facebook. Join Facebook to connect with Muhammad Arif and others you may know. Facebook gives people the power to share and makes the...

Muhammad Abdullah - Internship at Amal Academy - Amal ...

View Muhammad Abdullah’s profile on LinkedIn, the world's largest professional community. Muhammad has 2 jobs listed on their profile. See the complete profile on LinkedIn and discover Muhammad’s connections and jobs at similar companies.

Muhammad Abdullah Afzal AbdullahAfzal | Facebook

Muhammad Abdullah Afzal AbdullahAfzal is on Facebook. Join Facebook to connect with Muhammad Abdullah Afzal AbdullahAfzal and others you may know....

Salmanshah Afzal - YouTube

Skip navigation Sign in. Search

Amazon.com: Risk Identification in Construction Industry ...

Amazon.com: Risk Identification in Construction Industry (9783659633003): Afzal Abdullah, Sharafat Muhammad Arif, Asif Rao Muhammad: Books. Skip to main content . Try Prime Hello, Sign in Account & Lists Sign in Account & Lists Orders Try Prime Cart. Books. Go Search ...

UVAS Contact List - University of Veterinary and Animal ...

Sr.No. Name. Designation. Telephone Numbers Office. E-Mail / Fax. Vice Chancellor’s Secretariat: 1. Prof. Dr. Masood Rabbani. Vice Chancellor. 99211476. [email protected] ...

Amazon.com: Abdullah Afzal: Books

by Afzal Abdullah, Sharafat Muhammad Arif, et al. | Mar 3, 2015. Paperback $55.00 $ 55. 00. FREE Shipping. Factors affecting customer satisfaction in fast food sector. by Afzal Abdullah, Nafees Tuba, et al. | Oct 15, 2014. Paperback $61.79 $ 61. 79. FREE Shipping. More Buying Choices $57.91 (5 new offers) One Summer in Tuscany. by Domenica De Rosa | Jun 29, 2017. 2.0 out of 5 stars 1 ...

Arif Mohammad Khan - Wikipedia

Arif Mohammad Khan is best known for opposing a bill passed in Indian Parliament, the Muslim Personal Law Bill, the Bill denies the maintenance for women, which deprived Muslim women of Women rights. He protested against the Muslim Personal Law Bill even though it was passed in the Indian Parliament. He is of the opinion that the protest against The Citizenship (Amendment) Act 2019 is against Indian constitution because the bill is passed in Indian Parliament.

Risk Identification in Construction Industry von Abdullah ...

Construction industry operates in very uncertain situations subject to various kinds of risks arise during the execution of a project. This research was conducted to identify key risks factors involved during execution of a project, risk categories, latest trends/ practices in risk identification techniques, risk prevention and risk reduction ...

Ch Muhammad Arif Afzal | Facebook

Ch Muhammad Arif Afzal is on Facebook. Join Facebook to connect with Ch Muhammad Arif Afzal and others you may know. Facebook gives people the power to... Join Facebook to connect with Ch Muhammad Arif Afzal and others you may know.

UNIVERSITY OF EDUCATION

151BW114103 Khadija Arif Muhammad Arif 80.76 152BW106829 Zainab Raheem Abdul Raheem Abid 80.75 153BW118233 Rubab Farooq Chuadhary Abdul Farooq 80.74 154BW090469 Oniza Rafique Muhammad Rafique 80.74 155BW074238 Ayesha Hanif Muhammad Hanif 80.71 156BW105228 Alishba Ghaffar Abdul Gaffar 80.68 157BW080474 Zilmaarij Muhammad Afzal Tariq 80.64

Muhammad Abdullah Afzal Profile | Facebook

Profile von Personen mit dem Namen Muhammad Abdullah Afzal anzeigen. Tritt Facebook bei, um dich mit Muhammad Abdullah Afzal und anderen Personen, die du...

UNIVERSITY OF THE PUNJAB, LAHORE

UNIVERSITY OF THE PUNJAB, LAHORE UNIVERSITY LAW COLLEGE Result of Entry Test of LL.B 03 Years Program Total Marks: 50. 50 Faheem Afzal Muhammad Afzal Akhtar 25 51 Kashif Nasrullah Nasrullah 17 52 Muhammad Hassan Raza Dilawar Hussain 19 53 Kazam Raza Azhar Zaman 20 54 Abdullah Kamran Kamran Moosa 22 55 Muhammad Riaz Barkat Ali 16 56 Muhammad Zohaib Arain Hanif Arain 24 57 Rizwan Manzoor ...

Category:Pakistani politician stubs - Wikipedia

Pages in category "Pakistani politician stubs" The following 200 pages are in this category, out of approximately 1,913 total. This list may not reflect recent changes ( learn more ).

Afzal Guru - Wikipedia

Mohammad Afzal Guru (30 June 1969 – 9 February 2013) was a Kashmiri terrorist, who was convicted for his role in the 2001 Indian Parliament attack.He received a death sentence for his involvement, which was upheld by the Indian Supreme Court. Following the rejection of a mercy petition by the President of India, he was executed on 9 February 2013.. His body was buried within the precincts of ...

Abdullah Afzal (@Abdullah_Azfal) | Twitter

The latest Tweets from Abdullah Afzal (@Abdullah_Azfal). Actor/comic/humanitarian. Manchester

Sufi Sharafat Ali Khan Qawwal - Ghar a nosho Merya Dholna way Menu

Sufi Sharafat Ali Khan Qawwal From Okara Punjab Pakistan Ustad Nusrat Fathe Ali Khan Qawwal Sakhi Peer Ameer Noshahi Qadri Tahir Faridi Qawwal Sufi Sharafat Ali Rafique Ali Khan Qawwal Haji Jamil ...

THE INSTITUTE OF BANKERS PAKISTAN CERTIFIED GENERAL BANKER ...

7 Muhammad Ammar Ahmed Suria Ahmed Afzal 2496 8 Muhammad Umer Muhammad Arif Khan 2101 9 Muhammad Talha Bilal Imtiaz Ahmed 6239 10 Asma Khalid Khalid Mehmood 2023 11 Muhammad Bilal Abdullah Muhammad Abdullah 2024 12 Muhammad Abdul Ghafar Jamat Ali 2031 13 Ghulam Qadir Sario Abdul Rehman Sario 2073 14 Atia Ansari Abdul Hameed Ansari 2140 15 Muhammad Faisal Saddique Muhammad Saddique 2272 16 ...

Shafqat Ali Khan - Wikipedia

Shafqat Ali Khan (born 17 June 1972) is a classical singer of the khyal vocal genre, from Pakistan, belonging to the Sham Chaurasia gharana.. The youngest son of Ustad Salamat Ali Khan, Shafqat began performing from the age of seven, when he appeared at the Lahore Music Festival at Lahore, Pakistan in 1979. Shafqat Ali Khan is the custodian of a four hundred year legacy of classical music.

Risk Identification in Construction Industry - Afzal ...

Pris: 559 kr. Häftad, 2015. Skickas inom 10-15 vardagar. Köp Risk Identification in Construction Industry av Afzal Abdullah på Bokus.com.

Abdullah Afzal (@abdullah_official) • Instagram photos and ...

13.4k Followers, 328 Following, 1,402 Posts - See Instagram photos and videos from Abdullah Afzal (@abdullah_official)

www.dpsswl.com

Merit List First Year Boys Afternoon (2019) DIVISIONAL PUBLIC SCHOOL & COLLEGE SAHIWAL. FIRST MERIT LIST 11th- Pre-Engineering (Boys) DPS (Afternoon) 2019

Afzal Chaudhry Afzal Profile | Facebook

Profile von Personen mit dem Namen Afzal Chaudhry Afzal anzeigen. Tritt Facebook bei, um dich mit Afzal Chaudhry Afzal und anderen Personen, die du...

Kenett Ron S. Operational Risk Management. A Practical Approach to Intelligent Data Analysis


Models and methods for operational risks assessment and mitigation are gaining importance in financial institutions, healthcare organizations, industry, businesses and organisations in general. This book introduces modern Operational Risk Management and describes how various data sources of different types, both numeric and semantic sources such as text can be integrated and analyzed. The book also demonstrates how Operational Risk Management is synergetic to other risk management activities such as Financial Risk Management and Safety Management. Operational Risk Management: a practical approach to intelligent data analysis provides practical and tested methodologies for combining structured and unstructured, semantic-based data, and numeric data, in Operational Risk Management (OpR) data analysis. Key Features: The book is presented in four parts: 1) Introduction to OpR Management, 2) Data for OpR Management, 3) OpR Analytics and 4) OpR Applications and its Integration with other Disciplines. Explores integration of semantic, unstructured textual data, in Operational Risk Management. Provides novel techniques for combining qualitative and quantitative information to assess risks and design mitigation strategies. Presents a comprehensive treatment of «near-misses» data and incidents in Operational Risk Management. Looks at case studies in the financial and industrial sector. Discusses application of ontology engineering to model knowledge used in Operational Risk Management. Many real life examples are presented, mostly based on the MUSING project co-funded by the EU FP6 Information Society Technology Programme. It provides a unique multidisciplinary perspective on the important and evolving topic of Operational Risk Management. The book will be useful to operational risk practitioners, risk managers in banks, hospitals and industry looking for modern approaches to risk management that combine an analysis of structured and unstructured data. The book will also benefit academics interested in research in this field, looking for techniques developed in response to real world problems.

9441.41 РУБ

похожие

Подробнее

Michael Toma The Risk of Trading. Mastering the Most Important Element in Financial Speculation


Develop the skills to manage risk in the high-stakes world of financial speculation The Risk of Trading is a practical resource that takes an in-depth look at one of the most challenging factors of trading—risk management. The book puts a magnifying glass on the issue of risk, something that every trader needs to understand in order to be successful. Most traders look at risk in terms of a «stop-loss» that enables them to exit a losing trade quickly. In The Risk of Trading, Michael Toma explains that risk is ever-present in every aspect of trading and advocates that traders adopt a more comprehensive view of risk that encompasses the strategic trading plan, account size, drawdowns, maximum possible losses, psychological capital, and crisis management. Shows how to conduct a detailed statistical analysis of an individuals trading methodology through back-testing and real-time results so as to identify when the methodology may be breaking down in actual trading Reveals why traders should think of themselves as project managers who are strategically managing risk The book is based on the authors unique focus on the risk approach to trading using data-driven risk statistical analytics Using this book as a guide, traders can operate more as business managers and learn how to avoid market-busting losses while achieving consistently good results.

4646.36 РУБ

похожие

Подробнее

Laura Robinson A Practical Guide to Toxicology and Human Health Risk Assessment


Toxicology – the study of the adverse effects of chemicals on living organisms is the cornerstone to all aspects of chemical safety and knowledge of the subject is needed in a wide spectrum of fields from the chemical industry to medicine, emergency services, forensics, and regulatory science. Toxicology involves the study of symptoms, mechanisms, treatments and detection of poisoning … especially the poisoning of people. The many problems arising from a poor understanding of toxicology and its applications in hazard communication and chemical safety motivated the author’s training courses and webinars, leading to this valuable book. Providing a practical and accessible guide, A Practical Guide to Toxicology and Human Health Risk Assessment enables readers to quickly build up knowledge and understanding of toxicology and its use in hazard identification, which is a fundamental part of chemical risk assessment. The book also covers current toxicological testing strategies and the use of physicochemical test data in hazard identification and exposure assessment. Examples are provided throughout the book to highlight important issues along with a summary of the key points that have been covered in each of the respective chapters. The book concludes with a listing of online resources on toxicology and risk assessment.

8024.58 РУБ

похожие

Подробнее

Logan Caroline Self-Harm and Violence. Towards Best Practice in Managing Risk Mental Health Services


Self-Harm and Violence: Towards Best Practice in Managing Risk in Mental Health Services presents the first exploration of the most effective clinical practice techniques relating to the management of risk in mental health care settings. Based on the Department of Health’s Best Practice in Managing Risk guidance document, which was developed over a 12-month period in consultation with a national expert advisory group Features contributions from many members of the group that drew up the Best Practice document – all leading theoreticians and practitioners in their particular fields – and embeds the principles laid out in the guidelines in real world practice Reveals how contemporary risk management is a multidisciplinary and collaborative enterprise in which practitioners from different professions need to engage with each other in order to achieve success

9065.98 РУБ

похожие

Подробнее

Tony Merna Managing Risk in Construction Projects


Investment in any new project invariably carries risk but the construction industry is subject to more risk and uncertainty than perhaps any other industry. This guide for construction managers, project managers and quantity surveyors as well as for students shows how the risk management process improves decision-making. Managing Risk in Construction Projects offers practical guidance on identifying, assessing and managing risk and provides a sound basis for effective decision-making in conditions of uncertainty. The book focuses on theoretical aspects of risk management but also clarifies procedures for undertaking and utilising decisions. This blend of theory and practice is the real message of the book and, with a strong authorship team of practitioners and leading academics, the book provides an authoritative guide for practitioners having to manage real projects. It discusses a number of general concepts, including projects, project phases, and risk attitude before introducing various risk management techniques. This third edition has been extended to recognize the reality of multi-project or programme management and the risks in this context; to highlight the particular problems of risk in international joint ventures; and to provide more coverage of PFI and PPP. With case studies and examples of good practice, the book offers the distilled knowledge of over 100 man-years of experience in working on all aspects of project risk, giving sound practical guidance on identifying, assessing and managing risk.

5864.38 РУБ

похожие

Подробнее

Hobbs Richard Cardiovascular Risk Management


Practical ABC style Enables doctors to prioritise treatment using risk-scoring systems and holistic recommendations for reducing cardiovascular risk Includes treatment plans for individuals with diabetes, who are at high risk of developing cardiovascular disease How to reduce cardiovascular risk in other specific patient groups Developed by expert groups in different regions of the world

4605.47 РУБ

похожие

Подробнее

Philippe Jorion Financial Risk Manager Handbook. FRM Part I / II


The essential reference for financial risk management Filled with in-depth insights and practical advice, the Financial Risk Manager Handbook is the core text for risk management training programs worldwide. Presented in a clear and consistent fashion, this completely updated Sixth Edition, mirrors recent updates to the new two-level Financial Risk Manager (FRM) exam, and is fully supported by GARP as the trusted way to prepare for the rigorous and renowned FRM certification. This valuable new edition includes an exclusive collection of interactive multiple-choice questions from recent FRM exams. Financial Risk Manager Handbook, Sixth Edition supports candidates studying for the Global Association of Risk Professionals (GARP) annual FRM exam and prepares you to assess and control risk in todays rapidly changing financial world. Authored by renowned risk management expert Philippe Jorion, with the full support of GARP, this definitive guide summarizes the core body of knowledge for financial risk managers. Offers valuable insights on managing market, credit, operational, and liquidity risk Examines the importance of structured products, futures, options, and other derivative instruments Contains new material on extreme value theory, techniques in operational risk management, and corporate risk management Financial Risk Manager Handbook is the most comprehensive guide on this subject, and will help you stay current on best practices in this evolving field. The FRM Handbook is the official reference book for GARPs FRM certification program.

10841.51 РУБ

похожие

Подробнее

Muhammad Ali Round 3

Muhammad Ali Round 5

Muhammad Ali Round 7

Muhammad Ali Round 6

Muhammad Ali Round 1

Bernhard Pfaff Financial Risk Modelling and Portfolio Optimization with R


Financial Risk Modelling and Portfolio Optimization with R, 2nd Edition Bernhard Pfaff, Invesco Global Asset Allocation, Germany A must have text for risk modelling and portfolio optimization using R. This book introduces the latest techniques advocated for measuring financial market risk and portfolio optimization, and provides a plethora of R code examples that enable the reader to replicate the results featured throughout the book. This edition has been extensively revised to include new topics on risk surfaces and probabilistic utility optimization as well as an extended introduction to R language. Financial Risk Modelling and Portfolio Optimization with R: Demonstrates techniques in modelling financial risks and applying portfolio optimization techniques as well as recent advances in the field. Introduces stylized facts, loss function and risk measures, conditional and unconditional modelling of risk; extreme value theory, generalized hyperbolic distribution, volatility modelling and concepts for capturing dependencies. Explores portfolio risk concepts and optimization with risk constraints. Is accompanied by a supporting website featuring examples and case studies in R. Includes updated list of R packages for enabling the reader to replicate the results in the book. Graduate and postgraduate students in finance, economics, risk management as well as practitioners in finance and portfolio optimization will find this book beneficial. It also serves well as an accompanying text in computer-lab classes and is therefore suitable for self-study.

6428.97 РУБ

похожие

Подробнее

Global Association of Risk Professionals Foundations Energy Management. An Overview the Sector and Its Physical Financial Markets


GARPs Fundamentals of Energy Risk Management introduces investors to the basic components and some of the basic terminology used in the energy industry. It covers the commodity cycle, energy use and sources, and various risk types, various energy products and the markets where energy is traded. It also introduces certain risk management fundamentals and real option thinking. The book is GARPs required text used by risk professionals looking to obtain their Certificate in Energy Risk Management.

7062.47 РУБ

похожие

Подробнее

Комментарии



Подпишитесь на новые товары в budschisino.tk