Chapter1:Records and Information Management for Financial Analysis and Risk Management.- Chapter 2: Monitoring Financial Stability in a Complex World.- Chapter 3: The Office of Financial Research and Operation Risk.- Chapter 4: Using Conceptual Models to Theorize about the Relationship between Records and Risk in the Global Financial Crisis.- Chapter 5: The Application of Visual Analytics to Financial Decision-Making and Risk Management.- Chapter 6: A Functional Framework for Evaluating Financial Visualization Products.- Chapter 7: Coping with Messiness and Fogginess in Financial Information Management.- Chapter 8: Preserving Digital Records.
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