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Probability and Finance
Provides a foundation for probability based on game theory rather than measure theory. A strong philosophical approach with practical applications. Pr…
ПодробнееThe Hedge Fund Fraud Casebook
An in-depth, well-researched look at 100 hedge fund frauds Compared to mutual funds, hedge funds are the James Bonds of the marketplace. They have bee…
ПодробнееКорпоративный финансовый учет
В пособии рассмотрены теоретические аспекты корпоративного финансового учета с точки зрения современных методологических подходов; представлен широкий…
ПодробнееThe Fix. How Bankers Lied, Cheated and Colluded to Rig the World's Most Important Number
"The first thing you think is where's the edge, where can I make a bit more money, how can I push, push the boundaries. But the point is, you are gree…
ПодробнееTensile Trading. The 10 Essential Stages of Stock Market Mastery
A detailed 10-stage roadmap for investors to achieve stock market mastery with their own consistently profitable, high-probability investment system T…
ПодробнееDividends and Dividend Policy
Dividends And Dividend Policy As part of the Robert W. Kolb Series in Finance, Dividends and Dividend Policy aims to be the essential guide to dividen…
ПодробнееFinancial Independence (Getting to Point X). A Comprehensive Tax-Smart Wealth Management Guide
Discover how the Tax Cuts and Jobs Act of 2017 will change your journey to financial independence and what you need to do now to take advantage of the…
ПодробнееThe Exchange-Traded Funds Manual
Full coverage of ETF investments from an expert in the field The initial edition of Gary Gastineau's The Exchange-Traded Fund Manual was one of the fi…
ПодробнееEssentials of Working Capital Management
A comprehensive primer for executives and managers on working capital management With limited access to credit and short term funding, it is increasin…
ПодробнееEnterprise Risk Management. Today's Leading Research and Best Practices for Tomorrow's Executives
Essential insights on the various aspects of enterprise risk management If you want to understand enterprise risk management from some of the leading …
ПодробнееAn Introduction to Value-at-Risk
The value-at-risk measurement methodology is a widely-used tool in financial market risk management. The fifth edition of Professor Moorad Choudhry’s …
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 …
ПодробнееThe FINTECH Book. The Financial Technology Handbook for Investors, Entrepreneurs and Visionaries
A front-line industry insider's look at the financial technology explosion The FINTECH Book is your primary guide to the financial technology revoluti…
ПодробнееProperty Rich. Secure Your Financial Freedom
Want to buy 10 properties in 10 years, and still have money in your pocket? It’s possible. Property Rich will show you how. Authors Melissa Opie and S…
ПодробнееTrend Trading Set-Ups. Entering and Exiting Trends for Maximum Profit
An expert reveals a step-by-step process for profiting from neoclassical qualified trend trading Trend Trading Set-Ups extends the neoclassical concep…
ПодробнееManaging Collective Investment Funds
Managing Collective Investment Funds is a practical introduction to collective investment funds and their management, drawing on the experience of the…
ПодробнееThe End of Ethics and A Way Back. How To Fix A Fundamentally Broken Global Financial System
Bestselling author and professor Ted Malloch calls for real financial reform to restore confidence and fairness to a broken system From Ponzi schemes …
ПодробнееBond Evaluation, Selection, and Management
A fully revised guide to fixed income securities that reflects current market conditions The Second Edition of Bond Evaluation, Selection, and Managem…
ПодробнееГосударственное управление финансовой и банковской деятельностью
В пособии рассмотрены понятия объектов и субъектов государственного управления, разграничение компетенции органов федеральной власти и субъектов РФ, а…
ПодробнееHistory of Greed. Financial Fraud from Tulip Mania to Bernie Madoff
Praise for HISTORY OF GREED «David Sarna is a visionary technologist. He is also a sophisticated investor and financier. He has written a readable, co…
ПодробнееNerds on Wall Street. Math, Machines and Wired Markets
An intriguing look at how technology is changing financial markets, from an innovator on the frontlines of this revolution Nerds on Wall Street tells …
ПодробнееCorporate Aftershock. The Public Policy Lessons from the Collapse of Enron and Other Major Corporations
The first book to address public policy in the light of recent corporate debacles Corporate Aftershock is a reasoned, informed response to the numerou…
ПодробнееQuantitative Momentum. A Practitioner's Guide to Building a Momentum-Based Stock Selection System
The individual investor's comprehensive guide to momentum investing Quantitative Momentum brings momentum investing out of Wall Street and into the ha…
ПодробнееMarket Wizards. Interviews With Top Traders
The world's top trader's reveal the secrets of their phenomenal success! How do the world's most successful traders amass tens, hundreds of millions o…
ПодробнееFinance, Economics, and Mathematics
The compiled works of the man behind the evolution of quantitative finance Finance, Economics, and Mathematics is the complete Vasicek reference work,…
ПодробнееФинансовый анализ в схемах, рисунках и таблицах
Изложен теоретический материал, раскрывающий особенности финансового анализа в коммерческих организациях. По всем темам приведены вопросы, способствую…
ПодробнееFisher Investments on Technology
The sixth installment of the Fisher Investments On series is a comprehensive guide to understanding and analyzing investment opportunities within the …
ПодробнееThe Comprehensive Guide on How to Read a Financial Report. Wringing Vital Signs Out of the Numbers
A comprehensive guide to reading and understanding financial reports Financial reports provide vital information to investors, lenders, and managers. …
ПодробнееThe Capital Markets. Evolution of the Financial Ecosystem
The Capital Markets: evolution of the financial ecosystem is the new standard providing practical text book style coverage of this dynamic market and …
ПодробнееStewardship. Lessons Learned from the Lost Culture of Wall Street
A compelling argument for why stewardship of wealth and service to others should be our highest financial priority Stewardship is the journey of finan…
ПодробнееOperational Risk Management. Best Practices in the Financial Services Industry
Praise for Operational Risk Management «Ariane Chapelle is one of the world's leading teachers, thinkers and writers about operational risk. The combi…
ПодробнееОбзор книги О. Николаевой и Т. Шишковой «Управленческий учет»
Наш эксперт Лариса Плотницкая – преподаватель Русской Школы Управления, финансовый консультант, автор системы управления финансами «Плотли» – расскаже…
ПодробнееMarketplace Lending, Financial Analysis, and the Future of Credit. Integration, Profitability, and Risk Management
The time for financial technology innovation is now Marketplace Lending, Financial Analysis, and the Future of Credit clearly explains why financial c…
ПодробнееWhen Execution Isn't Enough. Decoding Inspirational Leadership
The definition of great leadership, backed by ground-breaking research When Execution Isn't Enough examines the essential leadership skills that go be…
ПодробнееФинансы под контролем: Как грамотно управлять деньгами компании
В мире, где время — деньги, одна ошибка в финансовом управлении может стоить компании всего. "Финансы под контролем: Как грамотно управлять деньгами к…
ПодробнееLife in the Financial Markets. How They Really Work And Why They Matter To You
An accessible and thorough review of the international financial markets Life in the Financial Markets—How They Really Work And Why They Matter To You…
ПодробнееThe End of Accounting and the Path Forward for Investors and Managers
An innovative new valuation framework with truly useful economic indicators The End of Accounting and the Path Forward for Investors and Managers show…
ПодробнееStudy Guide for The New Trading for a Living
Test your trading knowledge and skills—without risking any money You may read the best trading book, but how much of that knowledge will you retain a …
ПодробнееПромышленный менеджмент, маркетинг, экономика и финансы / 2017
В сборнике представлены статьи, являющиеся результатом студенческих научно-исследовательских работ. Материалы, изложенные в статьях обсуждены с руково…
ПодробнееERM - Enterprise Risk Management. Issues and Cases
A wealth of international case studies illustrating current issues and emerging best practices in enterprise risk management Despite enterprise risk m…
ПодробнееThe End of Finance
This new book by two distinguished Italian economists is a highly original contribution to our understanding of the origins and aftermath of the finan…
ПодробнееA Practitioner's Guide to Asset Allocation
Since the formalization of asset allocation in 1952 with the publication of Portfolio Selection by Harry Markowitz, there have been great strides made…
ПодробнееFX Option Performance. An Analysis of the Value Delivered by FX Options since the Start of the Market
Get the little known – yet crucial – facts about FX options Daily turnover in FX options is an estimated U.S. $ 207 billion, but many fundamental fact…
ПодробнееEmerging Market Real Estate Investment. Investing in China, India, and Brazil
Emerging markets in real estate investing have been an increasing focus for institutional real estate investors worldwide. Part of the Fabozzi series,…
ПодробнееАнализ финансовой устойчивости коммерческой организации и пути её повышения. Учебное пособие
Книга посвящена методике и способам анализа активов, дебиторской задолженности, денежных потоков, доходов и расходов, платежеспособности, ликвидности,…
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