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Корпоративные финансы
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The book analyzes, compares, and contrasts tools and techniques used in risk management at corporate, strategic business and project level and develop…
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A front-line industry insider's look at the financial technology explosion The FINTECH Book is your primary guide to the financial technology revoluti…
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It’s never too late to start planning for retirement You Don’t Have to Drive an Uber in Retirement is a survival guide for your golden years, and a li…
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The Team at Wilmott is very proud to present this compilation of Wilmott magazine articles and presentations from our second year. We have selected so…
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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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A practical guide to the features and investment characteristics of CDOs In the bond area, collateralized debt obligations, which include collateraliz…
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A complete framework for applications of behavioral finance in private banking, Behavioural Finance for Private Banking considers client needs specifi…
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How to achieve procurement excellence today and evolve to be ready for tomorrow Procurement entrepreneurship pays. High-performing procurement teams c…
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One of the few books on the subject, Country Risk Assessment combines the theoretical and practical tools for managing international country risk expo…
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The Capital Markets: evolution of the financial ecosystem is the new standard providing practical text book style coverage of this dynamic market and …
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A compelling argument for why stewardship of wealth and service to others should be our highest financial priority Stewardship is the journey of finan…
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This book provides a comprehensive introduction to the global capital markets, explaining the key instruments used in the markets and their practical …
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This book provides a cutting edge introduction to market risk management for Hedge Funds, Hedge Funds of Funds, and the numerous new indices and clone…
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The financial markets are made up of people from very diverse backgrounds but whether by long or short term investment these market participants all h…
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Overcome ERM implementation challenges by taking cues from leading global organizations Implementing Enterprise Risk Management is a practical guide t…
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Научно-практический журнал – информационно-аналитическое издание, посвященное вопросам повышения эффективности управления финансами как на макро-, так…
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The individual investor's comprehensive guide to momentum investing Quantitative Momentum brings momentum investing out of Wall Street and into the ha…
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A detailed look at the worst M&A deals ever and the lessons learned from them It's common knowledge that about half of all merger and acquisition (M&A…
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The global market for inflation-indexed securities has ballooned in recent years, and this trend is set to continue. This book examines the rationale …
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The definition of great leadership, backed by ground-breaking research When Execution Isn't Enough examines the essential leadership skills that go be…
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Question everything – and become a better investor in the process Uncommon Sense takes readers on a four-century journey; from the dawn of public shar…
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A wealth of international case studies illustrating current issues and emerging best practices in enterprise risk management Despite enterprise risk m…
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Written by leading market risk academic, Professor Carol Alexander, Value-at-Risk Models forms part four of the Market Risk Analysis four volume set. …
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Want to buy 10 properties in 10 years, and still have money in your pocket? It’s possible. Property Rich will show you how. Authors Melissa Opie and S…
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The definitive guide to capital markets regulatory compliance Governance, Compliance, and Supervision in the Capital Markets demystifies the regulator…
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RE: Self Managed Superannuation Funds: A Survival Guide Self managed superannuation funds (SMSFs) are the fastestgrowing sector of the superannuation …
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An in-depth look at why a commercial real estate collapse is inevitable, and how to survive it The Commercial Real Estate Tsunami is the first book to…
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Книга «Долги под контролем: Как выбраться из финансовой ямы» — это ваш путеводитель к финансовой свободе и независимости. Погрузитесь в глубокое поним…
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The world of quantitative finance (QF) is one of the fastest growing areas of research and its practical applications to derivatives pricing problem. …
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The recent financial crisis has highlighted the need for better valuation models and risk management procedures, better understanding of structured pr…
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This book demystifies the foreign exchange market by focusing on the people who comprise it. Drawing on the expertise of the very professionals whose …
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The failure of current mechanisms to either predict the collapse of various companies or curb corrupt practises has kept the subject of external repor…
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Luca Albertini and Pauline Barrieu are to be congratulated on this volume. Written in a period where structured projects in finance are having a diffi…
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This book shows traders how to use Intermarket Analysis to forecast future equity, index and commodity price movements. It introduces custom indicator…
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Firm valuation is currently a very exciting topic. It is interesting for those economists engaged in either practice or theory, particularly for those…
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An Introduction to Fund Management introduces readers to the economic rationale for the existence of funds, the different types available, investment …
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A comprehensive guide to reading and understanding financial reports Financial reports provide vital information to investors, lenders, and managers. …
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The only guide focusing entirely on practical approaches to pricing and hedging derivatives One valuable lesson of the financial crisis was that deriv…
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Split capital investment trusts (splits) became fashionable in the late 1990s but the splits boom led to some spectacular collapses as the bear market…
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Emerging markets in real estate investing have been an increasing focus for institutional real estate investors worldwide. Part of the Fabozzi series,…
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Научно-практический журнал – информационно-аналитическое издание, посвященное вопросам повышения эффективности управления финансами как на макро-, так…
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The time for financial technology innovation is now Marketplace Lending, Financial Analysis, and the Future of Credit clearly explains why financial c…
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Written by leading market risk academic, Professor Carol Alexander, Practical Financial Econometrics forms part two of the Market Risk Analysis four v…
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A complete resource to trading today's currency market Currency movements are impacted by a variety of factors, including interest rates, trade balanc…
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A worldwide leader in financial trading software shares one of its most successful systems In AbleTrend, Dr. John Wang discloses for the first time, t…
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