分別是:
Financial Statement Analysis: A Practitioner’s Guide, Fridson, M, Alvarez, F, Third Edition, 2002, John Wiley & Sons
Strategic Risk Taking: A Framework for Risk Management, Damoradan, 2007, Pearson/Wharton School
不用錢,不過希望有人能因此提供:
Asset/Liability Management of Financial Institutions: Maximising Shareholder Value Through Risk-Conscious Investing, Tilman, L.M., 2003, Euromoney Institutional Investor
Investment Guarantees: Modeling and Risk Management for Equity-Linked Life Insurance, Hardy M., 2003, John Wiley & Sons
Life, Health and Annuity Reinsurance, Tiller, J.E., Tiller, D.F., Third Edition, 2005, ACTEX
Risk Management, Crouhy, M., Galai, D., Mark, R., 2001, McGraw Hill
分享是美德嘛