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 |  | Financial Risk Manager Handbook (Wiley Finance) (4th Edition) by Philippe Jorion, GARP (Global Association of Risk Professionals) Paperback, 736 Pages, Published 2007 by John Wiley & Sons, 4th Edition
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 |  | Value at Risk, rd Ed.: The New Benchmark for Managing Financial Risk (3rd Edition) by Philippe Jorion Hardcover, 600 Pages, Published 2006 by McGraw-Hill Professional, 3rd Edition
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 |  | Value at Risk: The Benchmark for Controlling Market Risk (2Rev Ed Edition) by Philippe Jorion Hardcover, 544 Pages, Published 2000 by McGraw-Hill Inc.,US, 2Rev Ed Edition
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 |  | Value at Risk: New Benchmark for Controlling Derivatives Risk by Philippe Jorion Hardcover, 332 Pages, Published 1996 by Irwin Professional Publishing
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 |  | Financial Risk Manager Handbook (Wiley Finance) (3rd Edition) by Philippe Jorion, GARP (Global Association of Risk Professionals) Paperback, 768 Pages, Published 2005 by John Wiley & Sons, 3rd Edition
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 |  | Financial Risk Manager Handbook (Wiley Finance) (2nd Edition) by Philippe Jorion Paperback, 832 Pages, Published 2003 by John Wiley & Sons, 2nd Edition
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 |  | Value at Risk: The Benchmark for Controlling Market Risk (2I.S.ed Edition) by Philippe Jorion Hardcover, 364 Pages, Published 2000 by McGraw Hill Higher Education, 2I.S.ed Edition
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 |  | Integration vs. segmentation in the Canadian stock market (First Boston working paper series) by Philippe Jorion Unknown Binding, 21 Pages, Published 1986 by Graduate School of Business, Columbia University
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 |  | A multi-country comparison of term structure forecasts at long horizons (NBER working paper series) by Philippe Jorion Unknown Binding, Published 1991 by National Bureau of Economic Research
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 |  | Re-Emerging Markets (NBER working paper series) by William N. Goetzmann, Philippe Jorion Unknown Binding, Published 1997 by National Bureau of Economic Research
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