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Корпоративные финансы
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Water Finance. Public Responsibilities and Private Opportunities
A detailed look at the water industry and the trends that can lead to investment opportunities Water has quickly grown into a big global business, wit…
ПодробнееInvesting in Your Life. Your Biggest Investment Opportunities are Not Necessarily Financial
The great investors of our time have taught us many lessons about generating enormous wealth through investment; but what if we could use those princi…
ПодробнееFinancial Modeling and Valuation. A Practical Guide to Investment Banking and Private Equity
Written by the Founder and CEO of the prestigious New York School of Finance, this book schools you in the fundamental tools for accurately assessing …
ПодробнееInside the Investor's Brain. The Power of Mind Over Money
Unique insights into how the mind of an investor operates and how developing emotional awareness leads to long-term success Inside the Investor's Brai…
ПодробнееHedge Fund Operational Due Diligence. Understanding the Risks
How to diagnose and monitor key hedge fund operational risks With the various scandals taking place with hedge funds, now more than ever, both financi…
ПодробнееМеждународные расчеты и платежи. Практикум. Учебное пособие для академического бакалавриата
Практикум рассматривает особенности организации и осуществления международных расчетов и платежей. Каждая глава содержит теоретический материал, тесто…
ПодробнееКорпоративные финансы
В учебном пособии рассматриваются эволюция, современная трактовка корпоративных финансов, базовые концепции, факторы риска и времени, их влияние на уп…
ПодробнееPairs Trading. Quantitative Methods and Analysis
The first in-depth analysis of pairs trading Pairs trading is a market-neutral strategy in its most simple form. The strategy involves being long (or …
ПодробнееFrequently Asked Questions in Quantitative Finance
Getting agreement between finance theory and finance practice is important like never before. In the last decade the derivatives business has grown to…
ПодробнееMaster Traders. Strategies for Superior Returns from Today's Top Traders
Master Traders introduces you to an outstanding group of financial experts—from seasoned hedge fund managers to top technical analysts—who discuss the…
ПодробнееДолгосрочная финансовая политика организации
Рассматриваются направления реализации долгосрочной финансовой политики организации, ее финансовое обеспечение, источники финансирования, структура ка…
ПодробнееWiley Series 9 Exam Review 2016 + Test Bank. The General Securities Sales Supervisor Qualification Examination–Option Module
The go-to guide to acing the Series 9 Exam! Passing the General Securities Sales Supervisor Qualification Exam (Series 9 and 10) qualifies an individu…
ПодробнееСовременные корпоративные финансы. (Бакалавриат, Магистратура). Учебное пособие.
Приводится исследование современных корпоративных финансов, базирующееся на работах авторов по модификации теории стоимости и структуры капитала Модил…
ПодробнееGlobal Pension Crisis. Unfunded Liabilities and How We Can Fill the Gap
A comprehensive look at the crisis of unfunded pension liabilities and what must be done to avoid the same problem in the future As the generational b…
ПодробнееInterest Rate Swaps and Their Derivatives. A Practitioner's Guide
An up-to-date look at the evolution of interest rate swaps and derivatives Interest Rate Swaps and Derivatives bridges the gap between the theory of t…
ПодробнееОсновы финансовой грамотности
Учебное пособие разработано в соответствии с рабочей программой дисциплины «Основы финансовой грамотности». На современном уровне раскрываются вопросы…
ПодробнееBest-Practice EVA. The Definitive Guide to Measuring and Maximizing Shareholder Value
Best-Practice EVA tells the new EVA story from the ground up. Stewart covers EVA essentials—the classic economic profit version of EVA—in the first th…
ПодробнееCFO Insights
Many CFOs have led their companies to invest in ERP and shared services in order to create leaner, more global organization structures. Today, they se…
ПодробнееHow the Trading Floor Really Works
A detailed look at what really happens in the front office of an investment bank and why Trading floors have always fascinated people, but few underst…
ПодробнееConfidence Game. How Hedge Fund Manager Bill Ackman Called Wall Street's Bluff
An expose on the delusion, greed, and arrogance that led to America's credit crisis The collapse of America's credit markets in 2008 is quite possibly…
ПодробнееВнутрифирменное бюджетирование. Теория и практика 4-е изд., испр. и доп. Учебник для вузов
Учебник посвящен рассмотрению назначения внутрифирменного бюджетирования, призван раскрыть его основы и охарактеризовать его составные элементы как уп…
ПодробнееDoug Kass on the Market. A Life on TheStreet
Build a bulletproof portfolio with advice from a top market expert Doug Kass on the Market: A Life on TheStreet™ provides investment advice and guidan…
ПодробнееDivorcing the Dow. Using Revolutionary Market Indicators to Profit from the Stealth Boom Ahead
An investment approach that unlocks the secret of market patterns Based on over forty years of combined author experience as portfolio managers and fi…
ПодробнееAn End to the Bull. Cut Through the Noise to Develop a Sustainable Trading Career
Go beyond technical analysis tools with this comprehensive look at trading analysis Strategies for successful trading analysis for all markets are out…
ПодробнееMeasuring and Managing Liquidity Risk
A fully up-to-date, cutting-edge guide to the measurement and management of liquidity risk Written for front and middle office risk management and qua…
ПодробнееОбзор книги Д. Ткаченко «Работа с дебиторской задолженностью»
Наш эксперт Эрика Колчина – преподаватель Русской Школы Управления, сертифицированный внутренний аудитор, эксперт и консультант в области внутреннего …
ПодробнееDoug Kass on the Market. A Life on TheStreet
Build a bulletproof portfolio with advice from a top market expert Doug Kass on the Market: A Life on TheStreet™ provides investment advice and guidan…
ПодробнееФинансовые рынки и институты
Учебник посвящен теоретическим и практическим аспектам функционирования финансовых институтов на финансовых рынках. Показаны роль и функции финансовых…
ПодробнееGoals-Based Wealth Management
Take a more active role in strategic asset allocation
Goals-Based Wealth Management is a manual for protecting and growing client wealth in a way that…
ПодробнееValuation. Measuring and Managing the Value of Companies, University Edition
McKINSEY'S TRUSTED GUIDE TO TEACHING CORPORATE VALUATION, NOW IN ITS 25TH YEAR Valuation, University Edition, Sixth Edition, is filled with the expert…
ПодробнееBubble Value at Risk. A Countercyclical Risk Management Approach
Introduces a powerful new approach to financial risk modeling with proven strategies for its real-world applications The 2008 credit crisis did much t…
ПодробнееSuccessful Defined Contribution Investment Design
Start-to-finish guidance toward building and implementing a robust DC plan
Successful Defined Contribution Investment Design offers a comprehensive gu…
ПодробнееValue and Capital Management. A Handbook for the Finance and Risk Functions of Financial Institutions
A value management framework designed specifically for banking and insurance The Value Management Handbook is a comprehensive, practical reference wri…
ПодробнееEconomics and Finance of Risk and of the Future
This book uses real-world examples to show how individual and collective risks can be blended and treated in a reliable decision-making framework that…
ПодробнееPractical Risk-Adjusted Performance Measurement
A practitioner's guide to ex-post performance measurement techniques Risk within asset management firms has an undeserved reputation for being an over…
ПодробнееOptions Theory and Trading. A Step-by-Step Guide to Control Risk and Generate Profits
Praise for Options Theory and Trading «I've had the pleasure of teaching with Ron Ianieri at numerous live seminars for traders and investors, and one…
ПодробнееThe Enduring Advisory Firm
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…
ПодробнееCollaborative Capitalism and the Rise of Impact Investing
Investing with the explicit goal of creating financial returns alongside measurable social and environmental benefits is catching fire. Wall Street's …
ПодробнееМетодика финансового анализа деятельности коммерческих организаций
Методика охватывает все темы финансового анализа деятельности коммерческой организации. Конкретные расчеты базируются на действующих сегодня формах го…
ПодробнееFinancial Risk Management. A Practitioner's Guide to Managing Market and Credit Risk
A top risk management practitioner addresses the essential aspects of modern financial risk management In the Second Edition of Financial Risk Managem…
ПодробнееRunning an Effective Investor Relations Department. A Comprehensive Guide
The ultimate guide to investor relations Your one-stop resource for everything pertaining to your company's dealings with the investment community, Ru…
ПодробнееAlts Democratized
A Comprehensive Review of the Liquid Alts Market and How ‘40 Act Products Can Enhance Client Portfolios
Liquid alternatives give investors access to h…
ПодробнееTrader Vic on Commodities. What's Unknown, Misunderstood, and Too Good to Be True
In Trader Vic on Commodities, Wall Street legend Victor Sperandeo explains in simple terms how these markets operate, removes some of the mystique and…
ПодробнееRisk Arbitrage
Originally published in 1982, Risk Arbitrage has become a classic on arbitrage strategies by the «dean of the arbitrage community.» It provides an ove…
ПодробнееThe Handbook of Credit Risk Management. Originating, Assessing, and Managing Credit Exposures
A comprehensive guide to credit risk management The Handbook of Credit Risk Management presents a comprehensive overview of the practice of credit ris…
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