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Обзор книги Дж. Т. Уэллса «Справочник по предупреждению и выявлению корпоративного мошенничества»
Наш эксперт Эрика Колчина – преподаватель Русской Школы Управления, сертифицированный внутренний аудитор, эксперт и консультант в области внутреннего …
ПодробнееA History of Interest Rates
A History of Interest Rates presents a very readable account of interest rate trends and lending practices over four millennia of economic history. De…
ПодробнееClient Psychology
A Client-Centered approach to Financial Planning Practice built by Research for Practitioners The second in the CFP Board Center for Financial Plannin…
ПодробнееLessons from the Financial Crisis. Causes, Consequences, and Our Economic Future
The world's best financial minds help us understand today's financial crisis With so much information saturating the market for the everyday investor,…
ПодробнееFinancial Models with Levy Processes and Volatility Clustering
An in-depth guide to understanding probability distributions and financial modeling for the purposes of investment management In Financial Models with…
ПодробнееФинансы и реиндустриализация: от теории к практике. Сборник статей Всероссийской студенческой научно-практической конференции
В сборнике представлены материалы Всероссийской студенческой научно-практической конференции «Финансы и реиндустриализация: от теории к практике», при…
ПодробнееThe Mining Valuation Handbook. Mining and Energy Valuation for Investors and Management
The essential guide to investing in mining opportunities, now in its Fourth Edition A comprehensive guide to mining investment analysis designed for u…
ПодробнееThe Mathematics of Derivatives Securities with Applications in MATLAB
Quantitative Finance is expanding rapidly. One of the aspects of the recent financial crisis is that, given the complexity of financial products, the …
ПодробнееBeyond Earnings. Applying the HOLT CFROI and Economic Profit Framework
Beyond Earnings is targeted at investors, financial professionals, and students who want to improve their ability to analyze financial statements, for…
ПодробнееCFA level I Exam Companion. The Fitch Learning / Wiley Study Guide to Getting the Most Out of the CFA Institute Curriculum
Providing exam focus and knowledge application makes The CFA® Level I Exam Companion the most effective study guide on the market. Wiley and Fitch Lea…
ПодробнееSix Sizzling Markets. How to Profit from Investing in Brazil, Russia, India, China, South Korea, and Mexico
In Six Sizzling Markets, seasoned financial veteran Pran Tiku lays out a detailed and balanced case for investing in the emerging economics of Brazil,…
ПодробнееBillion Dollar Green. Profit from the Eco Revolution
Most Americans have no clue how quickly our internal supplies are crumbling. Tobin Smith will give you the facts and forecasts on growth in the «green…
ПодробнееMultinational Finance. Evaluating the Opportunities, Costs, and Risks of Multinational Operations
Deep coverage and rigorous examination of international corporate finance Multinational Finance offers an advanced exploration of international corpor…
ПодробнееEconomics for Investment Decision Makers Workbook. Micro, Macro, and International Economics
The economics background investors need to interpret global economic news distilled to the essential elements: A tool of choice for investment decisio…
ПодробнееOption 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…
ПодробнееFamily Enterprise. Understanding Families in Business and Families of Wealth, + Online Assessment Tool
A thorough explanation of how family enterprises work The family enterprise, whether an operating business, a family office, or both, is the backbone …
ПодробнееДеньги. Кредит. Банки
Учебное пособие состоит из пяти разделов. В первом излагается теория денег с новой авторской концепцией их роли; во втором предлагается новая концепци…
ПодробнееНефинансовые факторы формирования финансовой политики компании: состав, структура, взаимосвязи
При реализации финансовой политики корпорации объектом внимания собственников и менеджеров все чаще становятся нефинансовые индикаторы развития соврем…
ПодробнееAlgorithmic Trading. Winning Strategies and Their Rationale
Praise for Algorithmic Trading «Algorithmic Trading is an insightful book on quantitative trading written by a seasoned practitioner. What sets this b…
ПодробнееThe Trader's Guide to the Euro Area. Economic Indicators, the ECB and the Euro Crisis
The euro area remains in a state of flux and appears to be unsustainable in its present form. The outcome of the crisis may be unknown for years and a…
ПодробнееФинансовые рынки и институты 3-е изд., испр. и доп. Учебник и практикум для СПО
В учебнике представлены теоретические основы и современные тенденции функционирования финансовых рынков и финансово-кредитных институтов. Рассматриваю…
ПодробнееThe WEALTHTECH Book
Get a handle on disruption, innovation and opportunity in investment technology The digital evolution is enabling the creation of sophisticated softwa…
ПодробнееSecuritization. Structuring and Investment Analysis
"This book fills a very important gap in the mindset of the bond structurer and the investor. Often, the two disciplines approach their tasks ignorant…
ПодробнееSectors and Styles. A New Approach to Outperforming the Market
Discover a proven method for making better investment choices The actions of politicians, regulators, and economic policy makers have an enormous impa…
ПодробнееВнутрифирменное бюджетирование. Семь практических шагов 2-е изд., испр. и доп. Учебное пособие для бакалавриата и магистратуры
Учебное пособие посвящено проблемам внедрения бюджетирования и управленческого учета в четырех типах компаний на промышленном предприятии, в торговой …
ПодробнееFamily Enterprise. Understanding Families in Business and Families of Wealth, + Online Assessment Tool
A thorough explanation of how family enterprises work The family enterprise, whether an operating business, a family office, or both, is the backbone …
ПодробнееNo Small Change
A 13-point manifesto for a new financial services marketing model Anthony Thomson knows a thing or two about new and disruptive financial services, ha…
ПодробнееMathematics of the Financial Markets. Financial Instruments and Derivatives Modelling, Valuation and Risk Issues
The book aims to prioritise what needs mastering and presents the content in the most understandable, concise and pedagogical way illustrated by real …
ПодробнееThe Wealth Dragon Way. The Why, the When and the How to Become Infinitely Wealthy
Take control of your financial future with expert guidance from wealth educators and property millionaires John Lee and Vincent Wong
The Wealth Drago…
ПодробнееCredit Risk Measurement. New Approaches to Value at Risk and Other Paradigms
The most cutting-edge read on the pricing, modeling, and management of credit risk available The rise of credit risk measurement and the credit deriva…
ПодробнееРоссия в мировой финансовой архитектуре
В монографии обобщены концептуальные основы формирования новой мировой финансовой архитектуры. Систематизированы институциональные и функциональные пр…
ПодробнееFisher Investments on Utilities
The Fisher Investments On series is designed to provide individual investors, students, and aspiring investment professionals the tools necessary to u…
ПодробнееBeating the Odds. Eddie Brown's Investing and Life Strategies
Beating the Odds is the improbable, inspiring autobiography of financial guru Eddie C. Brown, one of the nation's top stock pickers and money managers…
ПодробнееWhen Genius Failed: The Rise and Fall of Long Term Capital Management
Charts are best viewed on a tablet.Picking up where Liar’s Poker left off (literally, in the bond dealer’s desks of Salomon Brothers) the story of Lon…
ПодробнееФинансовые рынки и институты. Учебник и практикум для прикладного бакалавриата
В учебнике рассмотрены институты финансового рынка, профессиональных участников рынка и их роли в развитии финансового рынка. Раскрыта взаимосвязь про…
ПодробнееBribery and Corruption. Navigating the Global Risks
As businesses continue to expand globally into new and emerging markets, bribery and corruption risks have increased exponentially. Bribery and Corrup…
ПодробнееProfiting from Hedge Funds. Winning Strategies for the Little Guy
Learn to apply the strategies of top hedge fund managers to your personal investment portfolio The most successful hedge fund managers and superstar i…
ПодробнееEnergy Finance and Economics. Analysis and Valuation, Risk Management, and the Future of Energy
Thought leaders and experts offer the most current information and insights into energy finance Energy Finance and Economics offers the most up-to-dat…
ПодробнееRisk Quantification
This book offers a practical answer for the non-mathematician to all the questions any businessman always wanted to ask about risk quantification, and…
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…
ПодробнееАнализ и обоснование финансовых решений
Учебник посвящен вопросам современного финансового анализа и использования его технологий для принятия решений в области финансов организации. Издание…
ПодробнееSimple Profits from Swing Trading. The UndergroundTrader Swing Trading System Explained
There are so many trading systems out there today, each one claiming to have the secret that will bring windfall returns. Some may fare well in rising…
ПодробнееEquity Derivatives. Theory and Applications
Written by the quantitative research team of Deutsche Bank, the world leader in innovative equity derivative transactions, this book acquaints readers…
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