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The WEALTHTECH Book
The WEALTHTECH Book
Get a handle on disruption, innovation and opportunity in investment technology The digital evolution is enabling the creation of sophisticated softwa…
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Copula Methods in Finance
Copula Methods in Finance
Copula Methods in Finance is the first book to address the mathematics of copula functions illustrated with finance applications. It explains copulas …
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Applied C# in Financial Markets
Applied C# in Financial Markets
Applied C# in Financial Markets covers all the aspects of C# relevant to practitioners working in financial sector. It contains a practical workshop w…
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Quantitative Value. A Practitioner's Guide to Automating Intelligent Investment and Eliminating Behavioral Errors
Quantitative Value. A Practitioner's Guide to Automating Intelligent Investment and Eliminating Behavioral Errors
A must-read book on the quantitative value investment strategy Warren Buffett and Ed Thorp represent two spectrums of investing: one value driven, one…
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Fischer Black and the Revolutionary Idea of Finance
Fischer Black and the Revolutionary Idea of Finance
Praise for FISCHER BLACK AND THE REVOLUTIONARY IDEA OF FINANCE «The story of Fischer Black. . . . is remarkable both because of the creativity of the …
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Investment Banking
Investment Banking
Investment Banking, UNIVERSITY EDITION is a highly accessible and authoritative book written by investment bankers that explains how to perform the va…
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Pension Economics
Pension Economics
While not attempting to train readers as professional economists, this book aims to provide a secure grounding in the theory and practice of economics…
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Финансы коммерческих организаций. (Бакалавриат, Магистратура). Учебник.
Финансы коммерческих организаций. (Бакалавриат, Магистратура). Учебник.
Изложены сущность, функции и особенности финансов коммерческих организаций, их цели и задачи в обеспечении деятельности хозяйствующих субъектов финанс…
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Options for Volatile Markets. Managing Volatility and Protecting Against Catastrophic Risk
Options for Volatile Markets. Managing Volatility and Protecting Against Catastrophic Risk
Practical option strategies for the new post-crisis financial market Traditional buy-and-hold investing has been seriously challenged in the wake of t…
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Exotic Options Trading
Exotic Options Trading
Written by an experienced trader and consultant, Frans de Weert’s Exotic Options Trading offers a risk-focused approach to the pricing of exotic optio…
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Системный анализ деятельности предприятий в экономике и финансах. (Бакалавриат). Учебное пособие.
Системный анализ деятельности предприятий в экономике и финансах. (Бакалавриат). Учебное пособие.
Для практических и теоретических занятий по дисциплинам "Системный анализ деятельности предприятий", "Системный анализ и моделирование", которые прово…
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The Fix. How Bankers Lied, Cheated and Colluded to Rig the World's Most Important Number
The Fix. How Bankers Lied, Cheated and Colluded to Rig the World's Most Important Number
"The first thing you think is where's the edge, where can I make a bit more money, how can I push, push the boundaries. But the point is, you are gree…
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The Handbook of Traditional and Alternative Investment Vehicles. Investment Characteristics and Strategies
The Handbook of Traditional and Alternative Investment Vehicles. Investment Characteristics and Strategies
A comprehensive volume that covers a complete array of traditional and alternative investment vehicles This practical guide provides a comprehensive o…
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Collaborative Capitalism and the Rise of Impact Investing
Collaborative Capitalism and the Rise of Impact Investing
Investing with the explicit goal of creating financial returns alongside measurable social and environmental benefits is catching fire. Wall Street's …
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Финансовая аналитика: проблемы и решения № 9 2017
Финансовая аналитика: проблемы и решения № 9 2017
Научно-практический журнал – информационно-аналитическое издание, посвященное вопросам повышения эффективности управления финансами как на макро-, так…
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Volatility and Correlation
Volatility and Correlation
In Volatility and Correlation 2nd edition: The Perfect Hedger and the Fox, Rebonato looks at derivatives pricing from the angle of volatility and corr…
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Beat the Crowd. How You Can Out-Invest the Herd by Thinking Differently
Beat the Crowd. How You Can Out-Invest the Herd by Thinking Differently
Train your brain to be a real contrarian and outsmart the crowd Beat the Crowd is the real contrarian’s guide to investing, with comprehensive explana…
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Financial Statement Analysis Workbook. A Practitioner's Guide
Financial Statement Analysis Workbook. A Practitioner's Guide
All too often, financial statements conceal more than they reveal. Even after the recent economic crisis, those analyzing financial statements face se…
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Corporate Aftershock. The Public Policy Lessons from the Collapse of Enron and Other Major Corporations
Corporate Aftershock. The Public Policy Lessons from the Collapse of Enron and Other Major Corporations
The first book to address public policy in the light of recent corporate debacles Corporate Aftershock is a reasoned, informed response to the numerou…
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Macrofinancial Risk Analysis
Macrofinancial Risk Analysis
Macrofinancial risk analysis Dale Gray and Samuel Malone Macrofinancial Risk Analysis provides a new and powerful framework with which policymakers an…
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Финансовая аналитика: проблемы и решения № 5 2017
Финансовая аналитика: проблемы и решения № 5 2017
Научно-практический журнал – информационно-аналитическое издание, посвященное вопросам повышения эффективности управления финансами как на макро-, так…
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The Global Expatriate's Guide to Investing. From Millionaire Teacher to Millionaire Expat
The Global Expatriate's Guide to Investing. From Millionaire Teacher to Millionaire Expat
Exploit your offshore status to build a robust investment portfolio Most of the world's 200 million expats float in stormy seas. Few can contribute to…
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Brownian Motion Calculus
Brownian Motion Calculus
Brownian Motion Calculus presents the basics of Stochastic Calculus with a focus on the valuation of financial derivatives. It is intended as an acces…
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Option Pricing Models and Volatility Using Excel-VBA
Option Pricing Models and Volatility Using Excel-VBA
This comprehensive guide offers traders, quants, and students the tools and techniques for using advanced models for pricing options. The accompanying…
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The End of Accounting and the Path Forward for Investors and Managers
The End of Accounting and the Path Forward for Investors and Managers
An innovative new valuation framework with truly useful economic indicators The End of Accounting and the Path Forward for Investors and Managers show…
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Цена и ценовая политика компании. (Бакалавриат). Учебник.
Цена и ценовая политика компании. (Бакалавриат). Учебник.
Детально исследуется роль цен и их влияние на механизмы воспроизводства. Разработан с учетом обширного опыта рыночного ценообразования в развитых стра…
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Infrastructure as an Asset Class. Investment Strategy, Sustainability, Project Finance and PPP
Infrastructure as an Asset Class. Investment Strategy, Sustainability, Project Finance and PPP
Clear, comprehensive guidance toward the global infrastructure investment market Infrastructure As An Asset Class is the leading infrastructure invest…
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Trading The China Market With American Depository Receipts
Trading The China Market With American Depository Receipts
Discover the secrets of trading the Chinese markets with American Depository Receipts Introducing a new way to make virtually risk-free profits, Tradi…
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Environmental Finance. A Guide to Environmental Risk Assessment and Financial Products
Environmental Finance. A Guide to Environmental Risk Assessment and Financial Products
An engaging and comprehensive look at the intersection of financial innovation and the environment This unique book provides readers with a comprehens…
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A Practitioner's Guide to Asset Allocation
A Practitioner's Guide to Asset Allocation
Since the formalization of asset allocation in 1952 with the publication of Portfolio Selection by Harry Markowitz, there have been great strides made…
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Big Data for Insurance Companies
Big Data for Insurance Companies
This book will be a “must” for people who want good knowledge of big data concepts and their applications in the real world, particularly in the field…
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Monte Carlo Frameworks
Monte Carlo Frameworks
This is one of the first books that describe all the steps that are needed in order to analyze, design and implement Monte Carlo applications. It disc…
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Секреты финансовой модели
Секреты финансовой модели
Книга излагает в сконцентрированной форме методику создания финансовых моделей предприятий, а также охватывает широкий круг вопросов, связанных с бухг…
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Operational Risk Assessment. The Commercial Imperative of a more Forensic and Transparent Approach
Operational Risk Assessment. The Commercial Imperative of a more Forensic and Transparent Approach
Operational risk assessment The Commercial Imperative of a More Forensic and Transparent Approach Brendon Young and Rodney Coleman “Brendon Young and …
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Alternative Beta Strategies and Hedge Fund Replication
Alternative Beta Strategies and Hedge Fund Replication
There s a buzzword that has quickly captured the imagination of product providers and investors alike: «hedge fund replication». In the broadest sense…
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FX Option Performance. An Analysis of the Value Delivered by FX Options since the Start of the Market
FX Option Performance. An Analysis of the Value Delivered by FX Options since the Start of the Market
Get the little known – yet crucial – facts about FX options Daily turnover in FX options is an estimated U.S. $ 207 billion, but many fundamental fact…
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European Financial Systems in the Global Economy
European Financial Systems in the Global Economy
European Financial Systems in the Global Economy provides an overview of sources of finance, types of financial intermediation and financial systems i…
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Fibonacci and Gann Applications in Financial Markets
Fibonacci and Gann Applications in Financial Markets
There are many books covering Fibonacci from an artistic and historical point of view and almost as many suggesting that Fibonacci retracements and nu…
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An Introduction to Algorithmic Trading. Basic to Advanced Strategies
An Introduction to Algorithmic Trading. Basic to Advanced Strategies
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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The Art of Vulture Investing. Adventures in Distressed Securities Management
The Art of Vulture Investing. Adventures in Distressed Securities Management
A detailed and compelling look at distressed securities investing in today’s market In the corporate world, “vulture” investors in distressed securiti…
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Client Psychology
Client Psychology
A Client-Centered approach to Financial Planning Practice built by Research for Practitioners The second in the CFP Board Center for Financial Plannin…
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Финансовая дисциплина: Как избежать долгов в бизнесе
Финансовая дисциплина: Как избежать долгов в бизнесе
В современном мире бизнеса успех напрямую связан с финансовой дисциплиной. "Финансовая дисциплина: Как избежать долгов в бизнесе" — это незаменимый пу…
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Market Wizards. Interviews With Top Traders
Market Wizards. Interviews With Top Traders
The world's top trader's reveal the secrets of their phenomenal success! How do the world's most successful traders amass tens, hundreds of millions o…
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Don't Count on It!. Reflections on Investment Illusions, Capitalism, "Mutual" Funds, Indexing, Entrepreneurship, Idealism, and Heroes
Don't Count on It!. Reflections on Investment Illusions, Capitalism, "Mutual" Funds, Indexing, Entrepreneurship, Idealism, and Heroes
Praise for Don't Count On It! «This collection of Jack Bogle's writings couldn't be more timely. The clarity of his thinking—and his insistence on the…
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Regulating Wall Street. The Dodd-Frank Act and the New Architecture of Global Finance
Regulating Wall Street. The Dodd-Frank Act and the New Architecture of Global Finance
Experts from NYU Stern School of Business analyze new financial regulations and what they mean for the economy The NYU Stern School of Business is one…
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