Master Marketer Program could increase the money you make!

November 2007
Munday Courier (TX);11/7/2007, Vol. 34 Issue 49, p8
The article reports on the implications of the Master Marketer Program which is offered by the Texas Cooperative Extension in Texas.


Related Articles

  • State's role in FRM saga remains unexplained: N.H. didn't do its job. McIlvene, Susan // New Hampshire Business Review;12/30/2011, Vol. 33 Issue 27, p16 

    A letter is presented which states the accountability of the state government in dealing with the Financial Risk Manager (FRM) in New Hampshire.

  • State's role in FRM saga remains unexplained: Incompetence or criminal? Levintan, Bob // New Hampshire Business Review;12/30/2011, Vol. 33 Issue 27, p16 

    A letter is presented that expresses the author's statements regarding the incompetency and criminality issues of the Financial Risk Manager (FRM).

  • SUFFERING FROM... THE COOLIDGE EFFECT. Kirwan-Taylor, Helen // Management Today;Jun2010, p20 

    The article highlights the fact that taking multiple financial risks is better than managing the same boring old investments.

  • Finanzbranche baut Risikomanagement massiv aus.  // Risiko Manager;4/28/2011, Issue 9, p3 

    The article discusses the results of the "Global Risk Management Survey," which polled financial institutions regard their risk management systems.

  • Turn Risk into Opportunity.  // Risiko Manager;4/28/2011, Issue 9, p22 

    The article discusses a continuing education program offered by the Goethe Business School in Germany called the Financial Risk Management Programm.

  • EDITORIAL. Subramaniam, Sivam // MiddleEast Insurance Review;Feb2010, p1 

    The article discusses various reports published within the issue, including one on the impact of the downturn in trade on marine cargo, one on the financial risk management, and one on the Islamic finance.

  • Stress-testing.  // Essential Economics;2004, p249 

    A definition of the economic term "stress-testing" which refers to a process for exploring how a portfolio of assets and liabilities would fare in extreme adverse conditions is presented.

  • Risk Management.  // Canadian Underwriter;Jul2011, Vol. 79 Issue 7, p9 

    The article discusses a study by Proviti where participating finance executives indicated that more companies are expanding the role of finance departments to assume financial risk management responsibilities.

  • Guest Editorial: The governance of risk. Koenig, David R. // Journal of Risk Management in Financial Institutions;Jan-Mar2012, Vol. 5 Issue 2, p108 

    An introduction is presented in which the editor discusses various reports published within the issue on topics including the International Corporate Governance Network's (ICGN) Corporate Risk Oversight Guidelines, financial risk management at banks, and the governance of financial data.


Read the Article


Sorry, but this item is not currently available from your library.

Try another library?
Sign out of this library

Other Topics