نتایج جستجو
Risk Management in Supply Chains: Using Linear and Non-linear Models
Mohammad Heydari, Kin Keung Lai, Zhou Xiaohu, 2019
The Routledge Handbook of Disaster Risk Reduction Including Climate Change Adaptation
Ilan Kelman, Jessica Mercer, JC Gaillard, 2017
In Praise of Risk
Anne Dufourmantelle; Steven Miller (tr.), 2019
In Praise of Risk
Anne Dufourmantelle; Steven Miller, 2019
Landslide Risk Assessment
E. Mark Lee, David Jones, 2014
Art and Risk in Ancient Yoruba: Ife History, Power, and Identity, c. 1300
Suzanne Preston Blier, 2015
Optimal Spending on Cybersecurity Measures: Risk Management
Tara Kissoon, 2021
Assessing and Insuring Cybersecurity Risk
Ravi Das, 2021
A Framework to Create Value and Understand Risk
Ghislain Landry Tsafack Chetsa, 2021
Unknowing the ‘War on Terror’ : The Pleasures of Risk
Tina Managhan, 2020
Talent, Strategy, Risk: How Investors and Boards Are Redefining TSR
Bill McNabb, Ram Charan, Dennis Carey, 2021
Enterprise Risk Management: Today′s Leading Research and Best Practices for Tomorrow′s Executives (Robert W. Kolb Series)
John R. S. Fraser (editor), Rob Quail (editor), Betty Simkins (editor), 2021
Information Technology in Disaster Risk Reduction: 5th Ifip Wg 5.15 International Conference, Itdrr 2020, Sofia, Bulgaria, December 3-4, 2020, Revised Selected Papers
Yuko Murayama; Dimiter Velev; Plamena Zlateva, 2021
Lifelong Learning in Neoliberal Japan: Risk, Community, and Knowledge
Akihiro Ogawa, 2015
Lifelong Learning in Neoliberal Japan: Risk, Community, and Knowledge
Akihiro Ogawa, 2015
Individualising Risk: Paid Care Work in the New Gig Economy
Fiona Macdonald, 2021
Individualising Risk: Paid Care Work in the New Gig Economy
Fiona Macdonald, 2021
Risk, Uncertainty, and Rational Action
Carlo C. Jaeger, Ortwin Renn, Eugene A. Rosa and Thomas Webler, 2001
Syndrome X, the Silent Killer: The New Heart Disease Risk
REAVEN, Gerald, STROM, Terry, and FOX, Barry, 2000
Being at Genetic Risk: Toward a Rhetoric of Care
Kelly Pender, 2018
Risk-Return Analysis: The Theory and Practice of Rational Investing (Volume One)
Harry Markowitz, Kenneth Blay, 2013
Risk Measures for the 21st Century
Giorgio Szegö (editor), 2004
Risk Weighted Assets: Basel III (Banking Simplified Book 1)
Anna Michael, 2019
