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Managing Collective Investment Funds is a practical introduction to collective investment funds and their management, drawing on the experience of the…
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Exchange-Traded Derivatives provides an overview of the global listed futures and options markets, and how individual exchanges and products are adapt…
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In the first attempt to fully explore the controversial issues associated with the commercial application of nanotechnology, you'll find a thorough an…
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Over the past decade, credit derivatives have emerged as the key financial innovation in global capital markets. At end 2004, the market size hit $6.4…
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Fully revised and updated from the hugely popular first edition, this book is an accessible and convenient one-volume introduction to international ca…
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The Management of Mergers and Acquisitions is far away from the perfect, polished presentations of the merchant bankers in which value creation is all…
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In an age where companies and financial institutions are keenly focused on managing the financial risk of their operations, the implementation of quan…
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A practical approach to ART-an alternative method by which companies take on various types of risk This comprehensive book shows readers what ART is, …
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The authors predict that the impact will be far-reaching, leading to a more liquid, mature and efficient capital market. The structure of capital mark…
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This book offers an in-depth and up-to-date review of different statistical tools that can be used to analyze and forecast the dynamics of two crucial…
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Financial Modelling in Practice: A Concise Guide for Intermediate and Advanced Level is a practical, comprehensive and in-depth guide to financial mod…
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This book provides a secure grounding in the theory and practice of finance insofar as it deals with pension matters. By using it, the reader will und…
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Claims reserving is central to the insurance industry. Insurance liabilities depend on a number of different risk factors which need to be predicted a…
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Written by leading market risk academic, Professor Carol Alexander, Pricing, Hedging and Trading Financial Instruments forms part three of the Market …
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Mathematical techniques for trading and risk management. Managing Energy Risk closes the gap between modern techniques from financial mathematics and …
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The Enlargement of the European Union: A Guide for the Entrepreneur is a practical reference book for business and financial investors looking at chan…
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Financial market volatility forecasting is one of today's most important areas of expertise for professionals and academics in investment, option pric…
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A quick and concise guide to currency options An understanding of currency options is essential for those working in investment and foreign exchange. …
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This book is about the author's amazing trip across six continents and the world economy and society. It discusses who's sinking and who's swimming, w…
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The financial markets are made up of people from very diverse backgrounds but whether by long or short term investment these market participants all h…
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Behavioural investing seeks to bridge the gap between psychology and investing. All too many investors are unaware of the mental pitfalls that await t…
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Today's market participants have a myriad of tools at their disposal. Yet the success rate is that of old – 80% to 90% of traders fail to achieve thei…
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The credit derivatives market has developed rapidly over the last ten years and is now well established in the banking community and is increasingly m…
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In the Handbook of Asset and Liability Management: From Models to Optimal Return Strategies, Alexandre Adam presents a comprehensive guide to Asset an…
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This book introduces the reader to the C++ programming language and how to use it to write applications in quantitative finance (QF) and related areas…
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Structured Finance: The Object Orientated Approach is aimed at both the finance and IT professionals involved in the structured finance business with …
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Currency Strategy, Second Edition develops new techniques and explains classic tools available for predicting, managing, and optimizing fluctuations i…
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Over recent years there has been rapid consumer-led growth in investing in socially responsible companies to the extent that it has had an influence o…
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This book is an introductory guide to using Lévy processes for credit risk modelling. It covers all types of credit derivatives: from the single name …
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The Team at Wilmott is very proud to present this compilation of Wilmott magazine articles and presentations from our second year. We have selected so…
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Avoid downturn vulnerability by managing correlation dependency Asymmetric Dependence in Finance examines the risks and benefits of asset correlation,…
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In-depth answers for professionals looking to accurately value foreign equities Transnational Equity Analysis is today's most thorough guide to its su…
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Since the Bank of England was made independent in 1997, the conduct of monetary policy has been relatively uncontroversial. The debates between Keynei…
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The LIBOR Market Model (LMM) is the first model of interest rates dynamics consistent with the market practice of pricing interest rate derivatives an…
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Exciting new developments in risk assessment and management Risk assessment and management is fundamentally founded on the knowledge available on the …
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On the trading floor, all action is based on news, therefore rumors in financial markets are an everyday phenomenon. Rumors are the oldest mass medium…
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Over the quarter of a century with which this book is concerned, the UK has had an extraordinarily diverse experience of monetary policy and monetary …
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Catastrophic risk is one of the most significant and challenging areas of corporate risk management. Analyze this risk for your company with Catastrop…
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It is not uncommon to meet professionals in financial services who have only a vague idea of what their colleagues actually do. The root cause is spec…
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Professional investors are bombarded on a day to day basis with assertions about the role liquidity is playing and will play in determining prices in …
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A complete guide to key market features and their impact on each of the main areas of investment This comprehensive guide offers practical advice on h…
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Practical Performance Measurement and Attribution provides a clear introduction to the subject of performance measurement. Focusing more on the practi…
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Organized along product lines, the book will analyze many of the original classes of structured assets, including mortgage- and asset-backed securitie…
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This book shows traders how to use Intermarket Analysis to forecast future equity, index and commodity price movements. It introduces custom indicator…
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In Practical Financial Optimization: A Library of GAMS Models, the authors provide a diverse set of models for portfolio optimization, based on the Ge…
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