Bibliografi : hlm. 295-301 No Inv.: 136356 /SM/Perp/13/1c
Bibliografi : hlm. 313-316 No Inv.: 137662/SM/Perp/13/1c~140624/SM/Perp/14/1c~140590/SM/Perp/14/1c~140598/SM/Perp/14/1c~144235/Sm/Perp/14/1c
Bibliografi : hlm. 273-284 No Inv.: 139343, 139344/P/Perp/14/2c~140316-140318/P/Perp/14/3c~141660, 141661/P/Perp/14/2c
No Inv.: 1260-1262/S/Perp/88/3c~1630/S/Perp/89/1c~669/S/Perp/90/1c
No Inv.: 1267-1271/S/Perp/95/5c
Whilst external quality audits have been in place for more than a decade in some countries, limited research exists on the extent to which such audits have been effective in improving systems and processes for quality assurance in higher education institutions, and the extent to which such audits have improved academic standards, outcomes and student experience. External Quality Audit looks at …
This monograph is practically oriented, presenting a survey and explanation of credit insurance services for protection of short-term trade receivables primarily against commercial risk of insolvency and protracted default. The subject matter (i.e., main functions, features and principles of credit insurance with detailed description of credit insurance coverage, insurance conditions, and credi…
In Introduction to Mortgages & Mortgage Backed Securities, author Richard Green combines current practices in real estate capital markets with financial theory so readers can make intelligent business decisions. After a behavioral economics chapter on the nature of real estate decisions, he explores mortgage products, processes, derivatives, and international practices. By focusing on debt, his…
An Introduction to Real Estate Finance serves as the core of knowledge for a single-semester first course in real estate finance. Unlike other real estate finance textbooks, with their encyclopedic but often stale details, it combines a short traditional text with a living website. The book gives students and professors highly applied information, and its regularly updated online features ma…
The second edition of An Introduction to Credit Derivatives provides a broad introduction to products and a marketplace that have changed significantly since the financial crisis of 2008. Author Moorad Choudhry gives a practitioner's perspective on credit derivative instruments and the risks they involve in a succinct style without sacrificing technical details and scientific precision. Begi…