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2004
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Issue
1 February - Volume 12, Issue 1, Pages 9 - 41
1 April - Volume 12, Issue 2, Pages 5 - 31
1 July - Volume 12, Issue 3, Pages 9 - 45
1 September - Volume 12, Issue 4, Pages 10 - 41
1 December - Volume 12, Issue 5, Pages 13 - 55
Volume 12, Issue 1
1 February 2004
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Cover Image
ISSN
0965-7967
EISSN
1758-4086
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In this Issue
Editor’s page
The Bill Robinson column
The Matthew Leitch column
The Michael Mainelli column
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Re‐assessing 21st century risk: 21st century trends in risk management – board level decisions set the agenda
Chris Mundy
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Re‐assessing 21st century risk: the reaction to risky financial reporting – the rise and rise of cash
Jon Purr
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Re‐assessing 21st century risk: assessing risk in financial institutions – facing up to the banana skins
David Lascelles
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Basel 2: the risk to the global consensus
Sheenagh Gordon‐Hart
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New accounting guidance for variable interest entities: will the new rules reduce the risk?
Arlette Wilson
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Jefferson Jones
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Integrity risk and financial reporting: who pays for voting?
George Littlejohn
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Accounting in three dimensions: a case for momentum
Eric Melse
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Editor’s page
The changing world of risk management in financial services
Robert Bruce
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The Bill Robinson column
Take a closer look at how the link between pension fund risk and share prices really works
Bill Robinson
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The Matthew Leitch column
Strip away the mystique: embedded risk management should be easier
Matthew Leitch
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The Michael Mainelli column
Ethical volatility: how CSR ratings and returns might be changing the world of risk
Michael Mainelli
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