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Practical Financial Optimization
In Practical Financial Optimization: A Library of GAMS Models, the authors provide a diverse set of models for portfolio optimization, based on the Ge…
ПодробнееImplementing Models of Financial Derivatives
Implementing Models of Financial Derivatives is a comprehensive treatment of advanced implementation techniques in VBA for models of financial derivat…
ПодробнееModelling Single-name and Multi-name Credit Derivatives
Modelling Single-name and Multi-name Credit Derivatives presents an up-to-date, comprehensive, accessible and practical guide to the pricing and risk-…
ПодробнееSecurities Finance. Securities Lending and Repurchase Agreements
In Securities Finance, editors Frank Fabozzi and Steven Mann assemble a group of prominent practitioners in the securities finance industry to provide…
ПодробнееWall Street on Trial
The politics of business have become the business of politics. Across the world the lesson is clear: just as too much governmental interference leads …
ПодробнееGlobal Private Banking and Wealth Management
Wealth management is one of the areas in which banks and other personal financial services players are investing heavily. But the market is changing f…
ПодробнееOption Theory
A unified development of the subject, presenting the theory of options in each of the different forms and stressing the equivalence between each of th…
ПодробнееCredit Risk Modeling using Excel and VBA
In today's increasingly competitive financial world, successful risk management, portfolio management, and financial structuring demand more than up-t…
ПодробнееEnvironmental Finance. A Guide to Environmental Risk Assessment and Financial Products
An engaging and comprehensive look at the intersection of financial innovation and the environment This unique book provides readers with a comprehens…
ПодробнееA Guide to Financial Regulation for Fintech Entrepreneurs
The Fintech Entrepreneur’s Guide to Regulation and Regulatory Strategy Fintech has been growing dramatically over the last few years, and it is now an…
ПодробнееThe Best of Wilmott 1
November 11th 2003 saw a landmark event take place in London. As the first conference designed for quants by quants the Quantitative Finance Review 20…
ПодробнееCredit Derivatives Pricing Models
The credit derivatives market is booming and, for the first time, expanding into the banking sector which previously has had very little exposure to q…
ПодробнееExotic Option Pricing and Advanced Lévy Models
Since around the turn of the millennium there has been a general acceptance that one of the more practical improvements one may make in the light of t…
ПодробнееOption Pricing Models and Volatility Using Excel-VBA
This comprehensive guide offers traders, quants, and students the tools and techniques for using advanced models for pricing options. The accompanying…
ПодробнееDeals from Hell
A detailed look at the worst M&A deals ever and the lessons learned from them It's common knowledge that about half of all merger and acquisition (M&A…
ПодробнееCurrency Overlay
Currency overlay is the management of the currency exposure inherent in cross-border institutional investments. Exposure to foreign currencies increas…
ПодробнееSecurities Operations
The only comprehensive account of operational risk in securities settlements Securities Operations focuses on the settlement aspects of a securities t…
ПодробнееFinancial Applications using Excel Add-in Development in C / C++
Financial Applications using Excel Add-in Development in C/C++ is a must-buy book for any serious Excel developer.Excel is the industry standard for f…
ПодробнееCorporate Financial Distress and Bankruptcy. Predict and Avoid Bankruptcy, Analyze and Invest in Distressed Debt
A comprehensive look at the enormous growth and evolution of distressed debt, corporate bankruptcy, and credit risk default This Third Edition of the …
ПодробнееInvesting for the Long Term
Make the smartest choices you can with this must-have read for investors by one of the world's legendary value investors World-renowned investor Franc…
ПодробнееPreparing for the Worst
A timely approach to downside risk and its role in stock market investments When dealing with the topic of risk analysis, most books on investments tr…
ПодробнееImplementing Value at Risk
Implementing Value at Risk Philip Best Value at Risk (VAR) is an estimate of the potential loss on a trading or investment portfolio. Its use has swep…
ПодробнееPaul Wilmott on Quantitative Finance, 3 Volume Set
Paul Wilmott on Quantitative Finance, Second Edition provides a thoroughly updated look at derivatives and financial engineering, published in three v…
ПодробнееThe Heston Model and its Extensions in Matlab and C#
Tap into the power of the most popular stochastic volatility model for pricing equity derivatives Since its introduction in 1993, the Heston model has…
ПодробнееYou Don't Have to Drive an Uber in Retirement
It’s never too late to start planning for retirement You Don’t Have to Drive an Uber in Retirement is a survival guide for your golden years, and a li…
ПодробнееFinancial Engineering with Finite Elements
The pricing of derivative instruments has always been a highly complex and time-consuming activity. Advances in technology, however, have enabled much…
ПодробнееPaul Wilmott Introduces Quantitative Finance
Paul Wilmott Introduces Quantitative Finance, Second Edition is an accessible introduction to the classical side of quantitative finance specifically …
ПодробнееSecuritisation Swaps. A Practitioner's Handbook
Develop the skillset essential to successful securitisation swaps management Securitisation Swaps is a complete practitioner’s guide to this unique an…
ПодробнееCredit Securitisations and Derivatives. Challenges for the Global Markets
A comprehensive resource providing extensive coverage of the state of the art in credit secruritisations, derivatives, and risk management Credit Secu…
ПодробнееRedesigning Financial Regulation
At the height of the 1990s boom, Jack Grubman, one of the most successful analysts in Wall Street proclaimed ‘what used to be conflicts of interest ar…
ПодробнееCorporate Actions
Corporate actions are events that affect large corporations through to the individual investor – even those that own a single-share! All organizations…
ПодробнееLoan Workouts and Debt for Equity Swaps
The key to a successful loan workout is to identify the problems accurately and address them early. It is critical that the company's underlying busin…
ПодробнееFinancial Modelling in Python
Fletcher and Gardner have created a comprehensive resource that will be of interest not only to those working in the field of finance, but also to tho…
ПодробнееPortfolio Construction and Analytics
A detailed, multi-disciplinary approach to investment analytics Portfolio Construction and Analytics provides an up-to-date understanding of the analy…
ПодробнееGoing off the Rails
The capitalist model was developed in the 19th century and recent events have shown the difficulties of adapting this to the demands of the 21st centu…
ПодробнееGlobal Securitisation and CDOs
This is an essential book for any practitioner, researcher or student of securitisation – concise and accurate coverage of the key aspects of securiti…
ПодробнееAlternative Beta Strategies and Hedge Fund Replication
There s a buzzword that has quickly captured the imagination of product providers and investors alike: «hedge fund replication». In the broadest sense…
ПодробнееAn Introduction to Algorithmic Trading. Basic to Advanced Strategies
Interest in algorithmic trading is growing massively – it’s cheaper, faster and better to control than standard trading, it enables you to ‘pre-think’…
ПодробнееAlternative Investments. Instruments, Performance, Benchmarks and Strategies
A comprehensive guide to alternative investments that reveals today's latest research and strategies Historically low interest rates and bear markets …
ПодробнееAdvanced Operations Management
In the fast changing business and financial markets, the role of operations manager is crucially important to any organisation. As automated processes…
ПодробнееAn Arbitrage Guide to Financial Markets
An Arbitrage Guide to Financial Markets is the first book to explicitly show the linkages of markets for equities, currencies, fixed income and commod…
ПодробнееStrategic Asset Allocation in Fixed Income Markets
Matlab is used within nearly all investment banks and is a requirement in most quant job ads. There is no other book written for finance practitioners…
ПодробнееOperational Risk Assessment. The Commercial Imperative of a more Forensic and Transparent Approach
Operational risk assessment The Commercial Imperative of a More Forensic and Transparent Approach Brendon Young and Rodney Coleman “Brendon Young and …
ПодробнееГлавный по финансам. Как стать сильным финансовым директором
Как стать не просто хорошим, а выдающимся, по-настоящему сильным финансовым директором? Для этого недостаточно упорства, интуиции и академических знан…
ПодробнееFundamentals of Global Operations Management
Fundamentals of Global Operations Management, 2nd Edition provides an overview of the fundamentals of the operations functions and is suitable for peo…
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