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14 - More advanced topics: elicitation
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11 - Bayesian nets
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VOLUME I: PRINCIPLES AND CONTEXT
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18 - US residential-mortgage transfer systems: a data-management crisis
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5 - Data-driven regulation and financial reform: one perspective from industry on the financial crisis
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Preface
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3 - Portfolio risk monitoring
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Contents
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PART I - RISK MANAGEMENT CONTEXT FOR FINANCIAL DATA
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Contents
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4 - Predictability and causality
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26 - Operations management
- from PART VI - IMPLEMENTATION OF DATA AND ANALYTICS PROGRAMS
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Preface
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25 - Project implementation
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Dedication
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17 - Financial institutions' data requirements
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24 - Data security and privacy
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19 - Financial data interchange standards
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10 - A history of financial regulation in the USA from the beginning until today: 1789 to 2011
- from PART III - REGULATORY DATA
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28 - Stability analysis
- from Part X - Analysis of portfolio allocation
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