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Volatility 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…
ПодробнееEuropean Fixed Income Markets
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 …
ПодробнееThe Psychology of the Foreign Exchange Market
This book demystifies the foreign exchange market by focusing on the people who comprise it. Drawing on the expertise of the very professionals whose …
ПодробнееКак подготовиться к экзамену ДипИФР. Все о секретах диплома по МСФО
Квалификация ДипИФР-Рус по международным стандартам финансовой отчетности – одна из самых престижных в бухгалтерской среде. Ежегодно от 6 до 8 тысяч п…
ПодробнееFinancial Risk Taking
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…
ПодробнееAn Introduction to Options Trading
Explaining the theory and practice of options from scratch, this book focuses on the practical side of options trading, and deals with hedging of opti…
ПодробнееApplied Quantitative Methods for Trading and Investment
This book provides a manual on quantitative financial analysis. Focusing on advanced methods for modelling financial markets in the context of practic…
ПодробнееКорпоративные финансы. (Бакалавриат, Магистратура). Учебник.
Изложены сущность, функции и особенности организации корпоративных финансов, их цели и задачи в обеспечении эффективного денежного оборота хозяйствующ…
ПодробнееCorporate Risk Management
Corporate Risk Management analyses, compares and contrasts tools and techniques used in risk management at corporate, strategic business and project l…
ПодробнееThe Power of Gold
Incorporating myth, history and contemporary investigation, Bernstein tells the story of how human beings have become intoxicated, obsessed, enriched,…
ПодробнееEconomics and Finance of Risk and of the Future
This book uses real-world examples to show how individual and collective risks can be blended and treated in a reliable decision-making framework that…
ПодробнееThe Rating Agencies and Their Credit Ratings
Credit rating agencies play a critical role in capital markets, guiding the asset allocation of institutional investors as private capital moves freel…
ПодробнееФинансовый анализ отчетности: ключевые коэффициенты и интерпретация
Финансовый анализ является неотъемлемой частью работы финансового аналитика или финансового менеджера компании. Эти люди должны разбираться в бухгалте…
ПодробнееFixed Income Attribution
Fixed income attribution is by its very nature a complex and mathematically demanding topic, and there is little information available on this area. F…
ПодробнееInternational Real Estate Handbook
This book presents a comprehensive reference for real estate investors everywhere. Covering the unique real-estate situations in seventeen key countri…
ПодробнееThe Split Capital Investment Trust Crisis
Split capital investment trusts (splits) became fashionable in the late 1990s but the splits boom led to some spectacular collapses as the bear market…
ПодробнееFibonacci and Gann Applications in Financial Markets
There are many books covering Fibonacci from an artistic and historical point of view and almost as many suggesting that Fibonacci retracements and nu…
ПодробнееКлючевые идеи книги: Деньги делают деньги. От зарплаты до финансовой свободы. Дмитрий Лебедев
Этот текст – сокращенная версия книги Дмитрия Лебедева «Деньги делают деньги. От зарплаты до финансовой свободы». Только самые ценные мысли, идеи, кей…
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…
ПодробнееAsset and Risk Management
The aim of this book is to study three essential components of modern finance – Risk Management, Asset Management and Asset and Liability Management, …
ПодробнееFinite Difference Methods in Financial Engineering
The world of quantitative finance (QF) is one of the fastest growing areas of research and its practical applications to derivatives pricing problem. …
ПодробнееTrading The China Market With American Depository Receipts
Discover the secrets of trading the Chinese markets with American Depository Receipts Introducing a new way to make virtually risk-free profits, Tradi…
ПодробнееКлючевые идеи книги: Богатство семьи. Как сохранить в семье человеческий, интеллектуальный и финансовый капиталы. Джеймс Хьюз–младший
Этот текст – сокращенная версия книги Джеймса Хьюза—младшего «Богатство семьи. Как сохранить в семье человеческий, интеллектуальный и финансовый капит…
ПодробнееEncyclopedia of Financial Models
An essential reference dedicated to a wide array of financial models, issues in financial modeling, and mathematical and statistical tools for financi…
ПодробнееQuantitative Methods for Finance and Investments
Quantitative Methods for Finance and Investments ensures that readers come away from reading it with a reasonable degree of comfort and proficiency in…
ПодробнееMarket Risk Analysis, Practical Financial Econometrics
Written by leading market risk academic, Professor Carol Alexander, Practical Financial Econometrics forms part two of the Market Risk Analysis four v…
ПодробнееAdvanced Modelling in Finance using Excel and VBA
This new and unique book demonstrates that Excel and VBA can play an important role in the explanation and implementation of numerical methods across …
ПодробнееПроблемы безопасности оборота цифровых финансовых активов в криптоэкономике
В монографии изложены проблемы безопасности оборота цифровых финансовых активов (криптовалюты) в криптоэкономике и международный опыт его регулировани…
ПодробнееLife Insurance in Asia
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…
ПодробнееAn Introduction to Analysis of Financial Data with R
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…
ПодробнееThe Handbook of Insurance-Linked Securities
Luca Albertini and Pauline Barrieu are to be congratulated on this volume. Written in a period where structured projects in finance are having a diffi…
ПодробнееМатематическое моделирование инвестиционных и финансовых решений
Учебное пособие предназначено для бакалавров и магистров, обучающихся по экономическим и финансовым специальностям. В нем нашли свое отражение методы …
ПодробнееThe Risk Premium Factor
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…
ПодробнееThe Business of Investment Banking
A comprehensive overview of investment banking for professionals and students The investment banking industry has changed dramatically since the 2008 …
ПодробнееMarket Risk Analysis, Value at Risk Models
Written by leading market risk academic, Professor Carol Alexander, Value-at-Risk Models forms part four of the Market Risk Analysis four volume set. …
ПодробнееRisk Arbitrage
The definitive guide to risk arbitrage, fully updated with new laws, cases, and techniques Risk Arbitrage is the definitive guide to the field and fea…
ПодробнееДинамические нейросетевые модели банкротств корпораций при неполных данных
Монография посвящена сложной и практически неисследованной проблеме нейросетевого моделирования развития процессов банкротств корпораций в динамике. С…
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…
ПодробнееMarket Risk Management for Hedge Funds
This book provides a cutting edge introduction to market risk management for Hedge Funds, Hedge Funds of Funds, and the numerous new indices and clone…
ПодробнееPricing with Confidence
Bad pricing is a great way to destroy your company’s value, revenue, and profits. With ten simple rules, this book shows you how to deliver both healt…
ПодробнееКлючевые идеи книги: Ключевые показатели менеджмента: как анализировать, сравнивать и контролировать данные, определяющие стоимость компании. Киран Уолш
Этот текст – сокращенная версия книги Кирана Уолша «Ключевые показатели менеджмента: как анализировать, сравнивать и контролировать данные, определяющ…
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