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Корпоративные финансы
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Make trades on vertical options spreads with the precision of a laser beam Vertical Options Spreads is a combination of a bona-fide academic research-…
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В издании освещены основные вопросы финансового управления с позиций практики. Материал отличается простотой изложения, доступностью с точки зрения пр…
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The sixth installment of the Fisher Investments On series is a comprehensive guide to understanding and analyzing investment opportunities within the …
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An upbeat antidote to the gloom and doom forecasts of the financial future Just about everyone is worried about the economy and markets. And the fear …
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В учебнике раскрыты основные понятия и сегменты финансового рынка — денежного рынка, валютного рынка, рынка ценных бумаг и кредитного рынка. Рассмотре…
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Inside the risk management and corporate governance issues behind capital structure decisions Practical ways of determining capital structures have al…
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Essential insights on the various aspects of enterprise risk management If you want to understand enterprise risk management from some of the leading …
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Рассматриваются сущность и содержание финансов, структура финансовой системы государства, государственный бюджет, кредит и долг, финансовая политика г…
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For Amazon customers: The new version of the book, printed on higher quality paper, is now available to purchase. The essential futures market referen…
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New insights for investors and business people looking to create wealth in the turbulent post-crisis world In a no holds barred expose of the 2008 fin…
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Your money can change the world The Impact Investor: Lessons in Leadership and Strategy for Collaborative Capitalism offers precise details on what, e…
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The need for realism in reform of its monetary system is what makes Bernstein’s story of the Power of Gold so timely. It is a compelling reminder that…
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Mathematics and Statistics for Financial Risk Management is a practical guide to modern financial risk management for both practitioners and academics…
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В учебнике рассматриваются организационно-управленческие аспекты, институциональные факторы и финансовая среда предпринимательской деятельности. Предс…
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Disputes over valuation issues fill the court's dockets and for good reason, fair market valuations are required frequently by the law. The authors be…
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Tap into the power of the most popular stochastic volatility model for pricing equity derivatives Since its introduction in 1993, the Heston model has…
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Applying the Lessons of History to Understanding Fraud Today and Tomorrow Financial Stability provides a roadmap by which the world can anticipate and…
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The third installment of the Fisher Investments On series is a comprehensive guide to the Consumer Staples industry—which includes companies that manu…
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Учебный курс охватывает темы, вопросы и понятия, изучение которых предусмотрено требованиями государственных стандартов высшего профессионального обра…
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An intriguing look at how technology is changing financial markets, from an innovator on the frontlines of this revolution Nerds on Wall Street tells …
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A cutting-edge look at the endowment model of investing Many larger endowments and foundations have adopted a broadly diversified asset allocation str…
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While growth is a top priority for companies of all sizes, it can be extremely difficult to create and maintain—especially in today’s competitive busi…
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В учебном пособии рассмотрены финансы организаций (предприятий), которые являются самостоятельным звеном финансовой системы, обслуживающей материально…
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Финансовый университет при Правительстве Российской Федерации — один из старейших российских вузов, ведущий подготовку экономистов, финансистов, юрист…
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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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This book presents a cogent description of the main methodologies used in derivatives pricing. Starting with a summary of the elements of Stochastic C…
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While mainstream financial theories and applications assume that asset returns are normally distributed, overwhelming empirical evidence shows otherwi…
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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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Работа направлена на формирование системного теоретико-практического подхода к освоению финансовой грамотности в формате устойчивого развития в век ци…
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A clear look at how to capture investment profits during difficult financial times The U.S. economy has become crippled by the credit and real estate …
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The recent financial crisis brought to light many of the misunderstandings and misuses of exotic derivatives. With market participants on both the buy…
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Practical advice for investors from investors Presenting a fresh approach to investment guidance, Wealth of Experience is built on real investors' sto…
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Structured Finance: The Object Orientated Approach is aimed at both the finance and IT professionals involved in the structured finance business with …
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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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Getting a Job in Hedge Funds offers targeted advice for those looking to break into the hedge fund business. With this book, you’ll learn where hedge …
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The fifth installment of the Fisher Investments On series is a comprehensive guide to understanding and analyzing investment opportunities within emer…
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Managing Credit Risk, Second Edition opens with a detailed discussion of today’s global credit markets—touching on everything from the emergence of he…
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Why should a company have an operational risk management function and how should it be organized? No Excuses proposes that operational risk should be …
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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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As head FX strategist at CMC Markets–one of the world's leading forex/commodity brokers–Ashraf Laidi understands the forces shaping today's currency m…
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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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This groundbreaking book extends traditional approaches of risk measurement and portfolio optimization by combining distributional models with risk or…
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Dive into algo trading with step-by-step tutorials and expert insight Machine Trading is a practical guide to building your algorithmic trading busine…
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Key readings in risk management from CFA Institute, the preeminent organization representing financial analysts Risk management may have been the sing…
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CFDs Made Simple is the essential guide for anyone who wants to make money trading CFDs Contracts for difference (CFDs) offer an opportunity to make y…
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