Все книги жанра финансы - Страница 57
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Probability and Finance
Probability and Finance
Provides a foundation for probability based on game theory rather than measure theory. A strong phil...
Plumbers and Visionaries
Plumbers and Visionaries
Plumbers and Visionaries: Securities Settlement and Europe’s Financial Market is a path-breaking acc...
New Market Mavericks
New Market Mavericks
Geoff Cutmore offers a fresh approach to the age-old battle of profitable investing in uncertain tim...
Discounted Cash Flow
Discounted Cash Flow
Firm valuation is currently a very exciting topic. It is interesting for those economists engaged in...
Single Stock Futures
Single Stock Futures
Single Stock Futures are regarded by many as the ultimate derivative. Having finally made their US t...
Implementing Financial Regulation
Implementing Financial Regulation
Now that the Financial Services and Markets Act 2000 has had a chance to bed itself down and the Fin...
Country Risk Assessment
Country Risk Assessment
One of the few books on the subject, Country Risk Assessment combines the theoretical and practical...
Inflation-indexed Securities
Inflation-indexed Securities
The global market for inflation-indexed securities has ballooned in recent years, and this trend is...
Uncertainty and Expectation
Uncertainty and Expectation
In this entertaining and thoughtful book, Gerald Ashley sets out to explain what trading is, and lay...
Exchange-Traded Derivatives
Exchange-Traded Derivatives
Exchange-Traded Derivatives provides an overview of the global listed futures and options markets, a...
Transnational Equity Analysis
Transnational Equity Analysis
In-depth answers for professionals looking to accurately value foreign equities Transnational Equity...
Is Fair Value Fair?
Is Fair Value Fair?
The failure of current mechanisms to either predict the collapse of various companies or curb corrup...
Alternative Risk Transfer
Alternative Risk Transfer
A practical approach to ART-an alternative method by which companies take on various types of risk T...
Socially Responsible Investment
Socially Responsible Investment
Over recent years there has been rapid consumer-led growth in investing in socially responsible comp...
Corporate Risk Management
Corporate Risk Management
The book analyzes, compares, and contrasts tools and techniques used in risk management at corporate...
Macrofinancial Risk Analysis
Macrofinancial Risk Analysis
Macrofinancial risk analysis Dale Gray and Samuel Malone Macrofinancial Risk Analysis provides a new...
Exotic Options Trading
Exotic Options Trading
Written by an experienced trader and consultant, Frans de Weert’s Exotic Options Trading offers a ri...
Intermarket Trading Strategies
Intermarket Trading Strategies
This book shows traders how to use Intermarket Analysis to forecast future equity, index and commodi...
Trading Regime Analysis
Trading Regime Analysis
Trading Regime Analysis is a groundbreaking work on how markets behave and how to profit from this b...
Managing Energy Risk
Managing Energy Risk
Mathematical techniques for trading and risk management. Managing Energy Risk closes the gap between...
Accounting for Derivatives
Accounting for Derivatives
Accounting for Derivatives: Advanced Hedging under IFRS is a comprehensive practical guide to hedge...
Anti-Money Laundering
Anti-Money Laundering
Anti-Money Laundering is the definitive reference on money laundering and practice. First an outline...
Monte Carlo Frameworks
Monte Carlo Frameworks
This is one of the first books that describe all the steps that are needed in order to analyze, desi...
Global Credit Management
Global Credit Management
In many companies credit management is a passive and reactive discipline. This results in significan...
Volatility and Correlation
Volatility and Correlation
In Volatility and Correlation 2nd edition: The Perfect Hedger and the Fox, Rebonato looks at derivat...
Advanced Operations Management
Advanced Operations Management
In the fast changing business and financial markets, the role of operations manager is crucially imp...
Redesigning Financial Regulation
Redesigning Financial Regulation
At the height of the 1990s boom, Jack Grubman, one of the most successful analysts in Wall Street pr...
Brownian Motion Calculus
Brownian Motion Calculus
Brownian Motion Calculus presents the basics of Stochastic Calculus with a focus on the valuation of...
Financial Risk Taking
Financial Risk Taking
In Financial Risk Taking, trader and psychologist Mike Elvin explores the complex relationship betwe...
Governing the Corporation
Governing the Corporation
Governing the Corporation is a unique forum combining the insights of some of the most influential m...
Fixed Income Attribution
Fixed Income Attribution
Fixed income attribution is by its very nature a complex and mathematically demanding topic, and the...
The Wiley Trading Guide
The Wiley Trading Guide
Australia's #1 business publisher is proud to publish The Wiley Trading Guide including writing from...
Encyclopedia of Financial Models
Encyclopedia of Financial Models
An essential reference dedicated to a wide array of financial models, issues in financial modeling,...
Life Insurance in Asia
Life Insurance in Asia
An incisive look at the war for market share in the Asian life insurance market Although the life in...
The Risk Premium Factor
The Risk Premium Factor
A radical, definitive explanation of the link between loss aversion theory, the equity risk premium...
Self Managed Superannuation Funds
Self Managed Superannuation Funds
RE: Self Managed Superannuation Funds: A Survival Guide Self managed superannuation funds (SMSFs) ar...
Preparing for the Worst
Preparing for the Worst
A timely approach to downside risk and its role in stock market investments When dealing with the to...
Global Securitisation and CDOs
Global Securitisation and CDOs
This is an essential book for any practitioner, researcher or student of securitisation – concise an...
Credit Derivatives Pricing Models
Credit Derivatives Pricing Models
The credit derivatives market is booming and, for the first time, expanding into the banking sector...
Implementing Value at Risk
Implementing Value at Risk
Implementing Value at Risk Philip Best Value at Risk (VAR) is an estimate of the potential loss on a...