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A Client-Centered approach to Financial Planning Practice built by Research for Practitioners The second in the CFP Board Center for Financial Plannin…
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This volume collects the contributions of a number of diverse and distinguished scholars to reflect upon the topic of corporate retirement security in…
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The book analyzes, compares, and contrasts tools and techniques used in risk management at corporate, strategic business and project level and develop…
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Australia's #1 business publisher is proud to publish The Wiley Trading Guide including writing from some of the best trading authors and professional…
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This book will be a “must” for people who want good knowledge of big data concepts and their applications in the real world, particularly in the field…
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In Personal Benchmark: Integrating Behavioral Finance and Investment Management, Chuck Widger and Dr. Daniel Crosby outline the ways in which a progra…
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Repo, from sale and repurchase agreement, is one for the oldest and widely used instruments in global capital markets. It is a vital ingredient in the…
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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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An essential reference dedicated to a wide array of financial models, issues in financial modeling, and mathematical and statistical tools for financi…
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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…
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Leverage big data and demand into sustainable profitable growth Optimizing Growth is a handbook for how to succeed in the age of big data. Today’s bus…
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Provides a foundation for probability based on game theory rather than measure theory. A strong philosophical approach with practical applications. Pr…
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Written by an experienced trader and consultant, Frans de Weert’s Exotic Options Trading offers a risk-focused approach to the pricing of exotic optio…
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An incisive look at the war for market share in the Asian life insurance market Although the life insurance industry in Asia has emerged from the fina…
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Get a handle on disruption, innovation and opportunity in investment technology The digital evolution is enabling the creation of sophisticated softwa…
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Investment Banking, UNIVERSITY EDITION is a highly accessible and authoritative book written by investment bankers that explains how to perform the va…
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Firm valuation is currently a very exciting topic. It is interesting for those economists engaged in either practice or theory, particularly for those…
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This is one of the first books that describe all the steps that are needed in order to analyze, design and implement Monte Carlo applications. It disc…
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A radical, definitive explanation of the link between loss aversion theory, the equity risk premium and stock price, and how to profit from it The Ris…
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An in-depth guide to global and risk finance based on financial models and data-based issues that confront global financial managers. Globalization, G…
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An excellent and comprehensive source of information on hedge funds! From a quantitative view Lhabitant has done it once again by meticulously looking…
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Single Stock Futures are regarded by many as the ultimate derivative. Having finally made their US trading debut in November 2002, the market is set f…
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In many companies credit management is a passive and reactive discipline. This results in significant receivables assets weighing heavily on balance s…
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Copula Methods in Finance is the first book to address the mathematics of copula functions illustrated with finance applications. It explains copulas …
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Providing a balanced and practical approach to capital management and budgeting, this book covers the full spectrum of capital investments, from the b…
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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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Now that the Financial Services and Markets Act 2000 has had a chance to bed itself down and the Financial Services Authority (FSA) is developing its …
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In Volatility and Correlation 2nd edition: The Perfect Hedger and the Fox, Rebonato looks at derivatives pricing from the angle of volatility and corr…
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The introduction of the euro in 1999 cast a new focus on the financial markets of constituent euro-zone countries, which have subsequently emerged wit…
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The formula that transforms the probability of success when growing your business with M&A The M&A Formula brings together decades of research and cas…
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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…
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The global market for inflation-indexed securities has ballooned in recent years, and this trend is set to continue. This book examines the rationale …
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In Financial Risk Taking, trader and psychologist Mike Elvin explores the complex relationship between human behaviour patterns and the markets, offer…
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In an era of globalisation, syndicated lending and consolidation within the banking industry, virtually all industries will have international dealing…
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This book offers a practical answer for the non-mathematician to all the questions any businessman always wanted to ask about risk quantification, and…
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One of the few books on the subject, Country Risk Assessment combines the theoretical and practical tools for managing international country risk expo…
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Corporate Risk Management analyses, compares and contrasts tools and techniques used in risk management at corporate, strategic business and project l…
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Incorporating myth, history and contemporary investigation, Bernstein tells the story of how human beings have become intoxicated, obsessed, enriched,…
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This book examines the evolving dynamics driving philanthropy as Western society struggles to meet today's many challenges. The author takes a hard lo…
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Wealth Management Planning addresses the major UK tax issues affecting wealth management planning for both the UK domiciled and non-UK domiciled indiv…
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The failure of current mechanisms to either predict the collapse of various companies or curb corrupt practises has kept the subject of external repor…
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Fixed income attribution is by its very nature a complex and mathematically demanding topic, and there is little information available on this area. F…
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This book presents a comprehensive reference for real estate investors everywhere. Covering the unique real-estate situations in seventeen key countri…
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