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Корпоративные финансы

Credit Models and the Crisis. A Journey into CDOs, Copulas, Correlations and Dynamic Models
Credit 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…
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Financial Stability. Fraud, Confidence and the Wealth of Nations
Financial Stability. Fraud, Confidence and the Wealth of Nations
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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Governing the Corporation
Governing the Corporation
Governing the Corporation is a unique forum combining the insights of some of the most influential minds involved in the governance of global financia…
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Global Corporate Finance
Global Corporate Finance
Global Corporate Finance, sixth edition provides students with the practical skills needed to understand global financial problems and techniques. Ret…
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Financial Modelling in Practice
Financial Modelling in Practice
Financial Modelling in Practice: A Concise Guide for Intermediate and Advanced Level is a practical, comprehensive and in-depth guide to financial mod…
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Pricing and Hedging Financial Derivatives. A Guide for Practitioners
Pricing 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…
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Risk Management in Trading. Techniques to Drive Profitability of Hedge Funds and Trading Desks
Risk Management in Trading. Techniques to Drive Profitability of Hedge Funds and Trading Desks
A comprehensive resource for understanding how to minimize risk and increase profits In this accessible resource, Wall Street trader and quantitative …
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New Market Mavericks
New Market Mavericks
Geoff Cutmore offers a fresh approach to the age-old battle of profitable investing in uncertain times. With most experts now predicting volatile stoc…
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Credit Derivatives Pricing Models
Credit Derivatives Pricing Models
The credit derivatives market is booming and, for the first time, expanding into the banking sector which previously has had very little exposure to q…
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Synthetic and Structured Assets
Synthetic and Structured Assets
Organized along product lines, the book will analyze many of the original classes of structured assets, including mortgage- and asset-backed securitie…
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Diary of a Professional Commodity Trader. Lessons from 21 Weeks of Real Trading
Diary of a Professional Commodity Trader. Lessons from 21 Weeks of Real Trading
Trading is generally far more difficult in practice than in theory. The reality is that no trade set up or individual trader or system can identify pr…
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Мировые финансы в 2 т. Том 1. Учебник и практикум для вузов
Мировые финансы в 2 т. Том 1. Учебник и практикум для вузов
Финансовый университет при Правительстве Российской Федерации — один из старейших российских вузов, ведущий подготовку экономистов, финансистов, юрист…
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Redesigning Financial Regulation
Redesigning 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…
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Global Securitisation and CDOs
Global Securitisation and CDOs
This is an essential book for any practitioner, researcher or student of securitisation – concise and accurate coverage of the key aspects of securiti…
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Valuation for M&A
Valuation for M&A
Determine a company's value, what drives it, and how to enhance value during a M&A Valuation for M&A lays out the steps for measuring and managing val…
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The Value of Debt. How to Manage Both Sides of a Balance Sheet to Maximize Wealth
The Value of Debt. How to Manage Both Sides of a Balance Sheet to Maximize Wealth
A New York Times bestseller and one of the Ten Best Business Books of 2013 by WealthManagement.com, this book brings a new vision of the value of debt…
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Социальная политика. Финансовые механизмы. Учебник и практикум для бакалавриата и магистратуры
Социальная политика. Финансовые механизмы. Учебник и практикум для бакалавриата и магистратуры
В учебнике рассматриваются вопросы организации финансовых механизмов государственной социальной политики, раскрыты бюджетные механизмы, с помощью кото…
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Transnational Equity Analysis
Transnational Equity Analysis
In-depth answers for professionals looking to accurately value foreign equities Transnational Equity Analysis is today's most thorough guide to its su…
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Wall Street on Trial
Wall Street on Trial
The politics of business have become the business of politics. Across the world the lesson is clear: just as too much governmental interference leads …
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Going off the Rails
Going off the Rails
The capitalist model was developed in the 19th century and recent events have shown the difficulties of adapting this to the demands of the 21st centu…
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Implementing Enterprise Risk Management. From Methods to Applications
Implementing Enterprise Risk Management. From Methods to Applications
A practical, real-world guide for implementing enterprise risk management (ERM) programs into your organization Enterprise risk management (ERM) is a …
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Современные корпоративные финансы. (Бакалавриат, Магистратура). Учебное пособие.
Современные корпоративные финансы. (Бакалавриат, Магистратура). Учебное пособие.
Приводится исследование современных корпоративных финансов, базирующееся на работах авторов по модификации теории стоимости и структуры капитала Модил…
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Alternative Risk Transfer
Alternative Risk Transfer
A practical approach to ART-an alternative method by which companies take on various types of risk This comprehensive book shows readers what ART is, …
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The Future of Investing
The Future of Investing
The Markets in Financial Instruments Directive (MiFID) is the biggest change programme Europe’s capital markets have ever attempted. It takes all the …
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Managing Liquidity in Banks
Managing Liquidity in Banks
Liquidity risk is a topic growing immensely in importance in risk management. It has been much neglected by financial institutions and regulators in r…
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High-Profit IPO Strategies. Finding Breakout IPOs for Investors and Traders
High-Profit IPO Strategies. Finding Breakout IPOs for Investors and Traders
A detailed guide to the new era of IPO investing Typically generating a great deal of interest, excitement, and volatility, initial public offerings (…
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Деньги, кредит, банки
Деньги, кредит, банки
В учебнике рассматриваются общетеоретические и практические вопросы организации и функционирования денег, кредита и банков. Учебник подготовлен на баз…
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Plumbers and Visionaries
Plumbers and Visionaries
Plumbers and Visionaries: Securities Settlement and Europe’s Financial Market is a path-breaking account of the history and future of the securities s…
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The Future of Banking
The Future of Banking
The world of banking is changing dramatically as a result of regulation, technology and society. New developments in the past three years include adva…
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Paul Wilmott Introduces Quantitative Finance
Paul Wilmott Introduces Quantitative Finance
Paul Wilmott Introduces Quantitative Finance, Second Edition is an accessible introduction to the classical side of quantitative finance specifically …
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Inside Volatility Arbitrage. The Secrets of Skewness
Inside Volatility Arbitrage. The Secrets of Skewness
Today?s traders want to know when volatility is a sign that the sky is falling (and they should stay out of the market), and when it is a sign of a po…
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Финансовое моделирование в фирме. Учебник для вузов
Финансовое моделирование в фирме. Учебник для вузов
Книга содержит систематизированное изложение методов количественного анализа, используемых при принятии управленческих решений в финансовой сфере — от…
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Trading Regime Analysis
Trading Regime Analysis
Trading Regime Analysis is a groundbreaking work on how markets behave and how to profit from this behaviour. The book describes that it is the human …
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Risk-adjusted Lending Conditions
Risk-adjusted Lending Conditions
In order to operate their lending business profitably, banks must know all the costs involved in granting loans. In particular, all the expenses they …
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Implementing Models of Financial Derivatives
Implementing Models of Financial Derivatives
Implementing Models of Financial Derivatives is a comprehensive treatment of advanced implementation techniques in VBA for models of financial derivat…
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Central Counterparties. Mandatory Central Clearing and Initial Margin Requirements for OTC Derivatives
Central Counterparties. Mandatory Central Clearing and Initial Margin Requirements for OTC Derivatives
Practical guidance toward handling the latest changes to the OTC derivatives market Central Counterparties is a practical guide to central clearing an…
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Advanced Operations Management
Advanced Operations Management
In the fast changing business and financial markets, the role of operations manager is crucially important to any organisation. As automated processes…
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Exchange-Traded Derivatives
Exchange-Traded Derivatives
Exchange-Traded Derivatives provides an overview of the global listed futures and options markets, and how individual exchanges and products are adapt…
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Long/Short Market Dynamics
Long/Short Market Dynamics
Hedge funds are now the largest volume players in the capital markets. They follow a wide assortment of strategies but their activities have replaced …
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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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The Enduring Advisory Firm. How to Serve Your Clients More Effectively and Operate More Efficiently
The Enduring Advisory Firm. How to Serve Your Clients More Effectively and Operate More Efficiently
A guide for financial advisors who are ready to embrace new opportunities The Enduring Advisory Firm is a book for the forward-thinking financial advi…
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Intermarket Trading Strategies
Intermarket Trading Strategies
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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Accounting for Derivatives
Accounting for Derivatives
Accounting for Derivatives: Advanced Hedging under IFRS is a comprehensive practical guide to hedge accounting. This book is neither written by audito…
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Rumors in Financial Markets
Rumors in Financial Markets
On the trading floor, all action is based on news, therefore rumors in financial markets are an everyday phenomenon. Rumors are the oldest mass medium…
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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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