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The M&A Formula
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…
ПодробнееUnderstanding International Bank Risk
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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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…
ПодробнееThe Wiley Trading Guide
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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The aim of this book is to study three essential components of modern finance – Risk Management, Asset Management and Asset and Liability Management, …
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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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Quantitative Methods for Finance and Investments ensures that readers come away from reading it with a reasonable degree of comfort and proficiency in…
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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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A complete set of statistical tools for beginning financial analysts from a leading authority Written by one of the leading experts on the topic, An I…
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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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A comprehensive overview of investment banking for professionals and students The investment banking industry has changed dramatically since the 2008 …
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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…
ПодробнееGlobal Credit Management
In many companies credit management is a passive and reactive discipline. This results in significant receivables assets weighing heavily on balance s…
ПодробнееCopula Methods in Finance
Copula Methods in Finance is the first book to address the mathematics of copula functions illustrated with finance applications. It explains copulas …
ПодробнееThe Road to Financial Reformation
Our financial crisis: what happened, how we got here, and what needs to be done Henry Kaufman-an esteemed economist and statesman-is one of the most p…
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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 …
ПодробнееImplementing Financial Regulation
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 …
ПодробнееVolatility and Correlation
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…
ПодробнееThe Practical Guide to Wall Street
The Practical Guide to Wall Street is an indispensable resource for anyone who aspires to a front-office sales or trading position on Wall Street and …
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