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Корпоративные финансы

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Основы финансовой грамотности
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В учебном пособии рассматриваются вопросы современного состояния финансового рынка, финансовых институтов и финансовых инструментов для повышения фина…
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Wisdom on Value Investing offers author Gabriel Wisdom's insights on succeeding in difficult markets. One of his favorite approaches-which is part cla…
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Стивен экономил время с раннего возраста. Он экстерном закончил колледж, быстро создал бизнес, но судьба обернулась так, что он умер от рака лёгких в …
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A guide to the validation and risk management of quantitative models used for pricing and hedging Whereas the majority of quantitative finance books f…
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The go-to guide to acing the Series 57 Exam! Passing The Securities Trader Examination (Series 57) qualifies an individual to engage in NASDAQ and OTC…
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Risk Arbitrage
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Originally published in 1982, Risk Arbitrage has become a classic on arbitrage strategies by the «dean of the arbitrage community.» It provides an ove…
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Учебник подготовлен в соответствии с требованиями федеральных государственных образовательных стандартов высшего образования последнего поколения и ох…
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What happens when politicians substitute their wisdom for the market’s? The result is usually a government subsidy that provides advantage to a specia…
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The market for credit derivatives–financial instruments designed to transfer credit risk from one party to another–has grown exponentially in recent y…
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Wiley FINRA Series 65 Exam Review 2017. The Uniform Investment Adviser Law Examination
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The go-to guide to acing the Series 65 Exam! Consisting of 130 multiple-choice questions in the areas of ethics and legal guidelines, investment strat…
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The Trade Lifecycle. Behind the Scenes of the Trading Process
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The lifecycle of a trade is the fundamental activity of investment banks, hedge funds, pension funds and many other financial companies. There is no b…
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Market Consistency. Model Calibration in Imperfect Markets
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Achieving market consistency can be challenging, even for the most established finance practitioners. In Market Consistency: Model Calibration in Impe…
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Тень ликвидности
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На рынке «зелёных» облигаций возникает аномальная волна сделок в дарк-пулах. Бывший HFT-квантор Лев Рудницкий замечает цифровую сигнатуру — след собст…
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The Risk Controllers. Central Counterparty Clearing in Globalised Financial Markets
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Clearing houses, or CCPs, were among the very few organisations to emerge from the global financial crisis with their standing enhanced. In the chaoti…
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In Coherent Stress Testing: A Bayesian Approach, industry expert Riccardo Rebonato presents a groundbreaking new approach to this important but often …
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Private Capital Markets. Valuation, Capitalization, and Transfer of Private Business Interests
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В книге подробно раскрывается комплексный финансово-производственный анализ предприятия. Обсуждаются запас финансовой прочности, порог рентабельности …
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Market Players. A Guide to the Institutions in Today's Financial Markets
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The global financial markets are not just driven by the big investment houses and fund managers. Along with these, private banks, insurance houses, he…
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Тень ликвидности
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The Mathematics of Derivatives Securities with Applications in MATLAB
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Quantitative Finance is expanding rapidly. One of the aspects of the recent financial crisis is that, given the complexity of financial products, the …
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Тетрадь-практикум предназначена для студентов среднего профессионального образования при изучении дисциплины «Финансы, налоги и налогообложение», соот…
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Take control of your financial future with expert guidance from wealth educators and property millionaires John Lee and Vincent Wong The Wealth Drago…
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В учебнике систематизированы базовые знания в области финансов, финансового анализа и финансового менеджмента, представленные в их непосредственной вз…
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An update to the Elliot Wave Principle that corrects a fundamental error The Elliot Wave Principle has been widely adopted as a tool for traders analy…
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The go-to guide to acing the Series 26 Exam! Passing the Investment Company Products/Variable Contracts Limited Principal Qualification Exam (Series 2…
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Extreme Money. The Masters of the Universe and the Cult of Risk
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A definitive cultural history of high finance from one of the industry's most astute analysts Written by internationally respected financial expert Sa…
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An Introduction to Algorithmic Trading. Basic to Advanced Strategies
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Interest in algorithmic trading is growing massively – it’s cheaper, faster and better to control than standard trading, it enables you to ‘pre-think’…
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Wiley FINRA Series 6 Exam Review 2017. The Investment Company and Variable Contracts Products Representative Examination
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The go-to guide to acing the Series 6 Exam! Passing the Series 6 Exam qualifies an individual to function as an agent of a broker dealer and allows th…
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Counterparty Credit Risk. The new challenge for global financial markets
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The first decade of the 21st Century has been disastrous for financial institutions, derivatives and risk management. Counterparty credit risk has bec…
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Models. Behaving. Badly. Why Confusing Illusion with Reality Can Lead to Disaster, on Wall Street and in Life
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Emanuel Derman was a quantitative analyst (Quant) at Goldman Sachs, one of the financial engineers whose mathematical models became crucial for Wall S…
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Wiley FINRA Series 10 Exam Review 2017. The General Securities Sales Supervisor Examination -- General Module
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Wiley FINRA Series 99 Exam Review 2017. The Operations Professional Examination
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A fresh approach to technical analysis utilizing a full view (multi-time frame) integrated analytical system. Has the bear market ended? Is the reboun…
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Trading Triads explains the ‘Triads’ method, a system that enables simple market analysis, flagging accurate turning points as well as precise entry a…
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Wiley FINRA Series 4 Exam Review 2017. The Registered Options Principal Examination
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