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Корпоративные финансы
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Finance, Economics, and Mathematics
The compiled works of the man behind the evolution of quantitative finance Finance, Economics, and Mathematics is the complete Vasicek reference work,…
ПодробнееAn Introduction to Fund Management
An Introduction to Fund Management introduces readers to the economic rationale for the existence of funds, the different types available, investment …
ПодробнееMarketplace Lending, Financial Analysis, and the Future of Credit. Integration, Profitability, and Risk Management
The time for financial technology innovation is now Marketplace Lending, Financial Analysis, and the Future of Credit clearly explains why financial c…
ПодробнееThe Handbook of Insurance-Linked Securities
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…
ПодробнееInside the Currency Market. Mechanics, Valuation and Strategies
A complete resource to trading today's currency market Currency movements are impacted by a variety of factors, including interest rates, trade balanc…
ПодробнееApplied Quantitative Methods for Trading and Investment
This book provides a manual on quantitative financial analysis. Focusing on advanced methods for modelling financial markets in the context of practic…
ПодробнееThe FINTECH Book. The Financial Technology Handbook for Investors, Entrepreneurs and Visionaries
A front-line industry insider's look at the financial technology explosion The FINTECH Book is your primary guide to the financial technology revoluti…
ПодробнееFrequently Asked Questions in Quantitative Finance
Paul Wilmott writes, "Quantitative finance is the most fascinating and rewarding real-world application of mathematics. It is fascinating because of t…
ПодробнееMarket Risk Analysis, Practical Financial Econometrics
Written by leading market risk academic, Professor Carol Alexander, Practical Financial Econometrics forms part two of the Market Risk Analysis four v…
ПодробнееRegulating 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…
ПодробнееCorporate Risk Management
The book analyzes, compares, and contrasts tools and techniques used in risk management at corporate, strategic business and project level and develop…
ПодробнееMarket Risk Analysis, Quantitative Methods in Finance
Written by leading market risk academic, Professor Carol Alexander, Quantitative Methods in Finance forms part one of the Market Risk Analysis four vo…
ПодробнееProcurement 20/20. Supply Entrepreneurship in a Changing World
How to achieve procurement excellence today and evolve to be ready for tomorrow Procurement entrepreneurship pays. High-performing procurement teams c…
ПодробнееIntroduction to C++ for Financial Engineers
This book introduces the reader to the C++ programming language and how to use it to write applications in quantitative finance (QF) and related areas…
ПодробнееThe Capital Markets. Evolution of the Financial Ecosystem
The Capital Markets: evolution of the financial ecosystem is the new standard providing practical text book style coverage of this dynamic market and …
ПодробнееStewardship. Lessons Learned from the Lost Culture of Wall Street
A compelling argument for why stewardship of wealth and service to others should be our highest financial priority Stewardship is the journey of finan…
ПодробнееAn Introduction to Capital Markets
This book provides a comprehensive introduction to the global capital markets, explaining the key instruments used in the markets and their practical …
ПодробнееIs Fair Value Fair?
The failure of current mechanisms to either predict the collapse of various companies or curb corrupt practises has kept the subject of external repor…
ПодробнееCountry Risk Assessment
One of the few books on the subject, Country Risk Assessment combines the theoretical and practical tools for managing international country risk expo…
ПодробнееImplementing Enterprise Risk Management. Case Studies and Best Practices
Overcome ERM implementation challenges by taking cues from leading global organizations Implementing Enterprise Risk Management is a practical guide t…
ПодробнееLiving in a Material World
At a time when the world is grappling with rising food and energy prices and climate change, Living in a Material World provides an insight into some …
ПодробнееQuantitative Momentum. A Practitioner's Guide to Building a Momentum-Based Stock Selection System
The individual investor's comprehensive guide to momentum investing Quantitative Momentum brings momentum investing out of Wall Street and into the ha…
ПодробнееMarket Risk Management for Hedge Funds
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…
ПодробнееAn Introduction to International Capital Markets
Fully revised and updated from the hugely popular first edition, this book is an accessible and convenient one-volume introduction to international ca…
ПодробнееWhen Execution Isn't Enough. Decoding Inspirational Leadership
The definition of great leadership, backed by ground-breaking research When Execution Isn't Enough examines the essential leadership skills that go be…
ПодробнееUncommon Sense. Investment Wisdom Since the Stock Market's Dawn
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…
ПодробнееERM - Enterprise Risk Management. Issues and Cases
A wealth of international case studies illustrating current issues and emerging best practices in enterprise risk management Despite enterprise risk m…
ПодробнееДолги под контролем: Как выбраться из финансовой ямы
Книга «Долги под контролем: Как выбраться из финансовой ямы» — это ваш путеводитель к финансовой свободе и независимости. Погрузитесь в глубокое поним…
ПодробнееProperty Rich. Secure Your Financial Freedom
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…
ПодробнееМеждународные финансы в 2 ч. Часть 1. 2-е изд., пер. и доп. Учебник для бакалавриата и магистратуры
В учебнике освещены основы международной системы финансов; предпосылки формирования и сущность валютных кредитно-финансовых отношений; структура валют…
ПодробнееФинансовая аналитика: проблемы и решения № 12 2017
Научно-практический журнал – информационно-аналитическое издание, посвященное вопросам повышения эффективности управления финансами как на макро-, так…
ПодробнееThe Commercial Real Estate Tsunami. A Survival Guide for Lenders, Owners, Buyers, and Brokers
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…
ПодробнееMarket Risk Analysis, Value at Risk Models
Written by leading market risk academic, Professor Carol Alexander, Value-at-Risk Models forms part four of the Market Risk Analysis four volume set. …
ПодробнееКорпоративные сделки: Стратегии работы с крупными клиентами
В условиях динамичного рынка крупные клиенты становятся ключевыми игроками, способными задать темпо-ритм успеху вашего бизнеса. Книга "Корпоративные с…
ПодробнееCredit Models and the Crisis. A Journey into CDOs, Copulas, Correlations and Dynamic Models
The recent financial crisis has highlighted the need for better valuation models and risk management procedures, better understanding of structured pr…
ПодробнееEquity and Index Options Explained
In 2007 over 400 million equity option contracts were traded but it is a volatile market, prices are ever changing with supply and demand – the only c…
ПодробнееRedesigning Financial Regulation
At the height of the 1990s boom, Jack Grubman, one of the most successful analysts in Wall Street proclaimed ‘what used to be conflicts of interest ar…
ПодробнееPractical Financial Optimization
In Practical Financial Optimization: A Library of GAMS Models, the authors provide a diverse set of models for portfolio optimization, based on the Ge…
ПодробнееFinite Difference Methods in Financial Engineering
The world of quantitative finance (QF) is one of the fastest growing areas of research and its practical applications to derivatives pricing problem. …
ПодробнееGovernance, Compliance and Supervision in the Capital Markets, + Website
The definitive guide to capital markets regulatory compliance Governance, Compliance, and Supervision in the Capital Markets demystifies the regulator…
ПодробнееThe Psychology of the Foreign Exchange Market
This book demystifies the foreign exchange market by focusing on the people who comprise it. Drawing on the expertise of the very professionals whose …
ПодробнееThe Comprehensive Guide on How to Read a Financial Report. Wringing Vital Signs Out of the Numbers
A comprehensive guide to reading and understanding financial reports Financial reports provide vital information to investors, lenders, and managers. …
ПодробнееPricing and Hedging Financial Derivatives. A Guide for Practitioners
The only guide focusing entirely on practical approaches to pricing and hedging derivatives One valuable lesson of the financial crisis was that deriv…
ПодробнееInflation-indexed Securities
The global market for inflation-indexed securities has ballooned in recent years, and this trend is set to continue. This book examines the rationale …
ПодробнееCurrency Overlay
Currency overlay is the management of the currency exposure inherent in cross-border institutional investments. Exposure to foreign currencies increas…
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