Книги жанра корпоративные финансы: скачать бесплатно или читать онлайн в электронной библиотеке Fantasy Worlds Страница 97
Вы не авторизовались
Войти
Зарегистрироваться

Книги жанра корпоративные финансы

Swiss Annuities and Life Insurance. Secure Returns, Asset Protection, and Privacy
Добавить В библиотекуАвторизуйтесь, чтобы добавить
5
Аннотация на книгу:

Swiss Annuities and Life Insurance examines the key characteristics of Swiss annuities and life insurance, and explains how the use of these products can help you achieve asset protection, growth, and, in some cases, significant tax planning opportunities. Swiss annuities and life insurance are an excellent alternative investment, particularly for high-net-worth individuals. With this expert guide…

Добавленo: Рейтинг: 5 Комментариев 0 шт.
Financial Contagion. The Viral Threat to the Wealth of Nations
Добавить В библиотекуАвторизуйтесь, чтобы добавить
4
Аннотация на книгу:

Financial Contagion: The Viral Threat to the Wealth of Nations covers a lot of territory. It is, of course, terribly important to analyze case histories to discover potential triggers, mechanisms of transmission, and viable ways to contain the damage of financial contagion. The problem is, as these articles amply demonstrate, that there’s always a new virus or a mutation of a former one lurking in…

Добавленo: Рейтинг: 4 Комментариев 0 шт.
An Introduction to Equity Derivatives. Theory and Practice
Добавить В библиотекуАвторизуйтесь, чтобы добавить
4
Аннотация на книгу:

Everything you need to get a grip on the complex world of derivatives Written by the internationally respected academic/finance professional author team of Sebastien Bossu and Philipe Henrotte, An Introduction to Equity Derivatives is the fully updated and expanded second edition of the popular Finance and Derivatives. It covers all of the fundamentals of quantitative finance clearly and concisely…

Добавленo: Рейтинг: 4 Комментариев 0 шт.
Credit Derivatives. Trading, Investing,and Risk Management
Добавить В библиотекуАвторизуйтесь, чтобы добавить
3
Аннотация на книгу:

The credit derivatives industry has come under close scrutiny over the past few years, with the recent financial crisis highlighting the instability of a number of credit structures and throwing the industry into turmoil. What has been made clear by recent events is the necessity for a thorough understanding of credit derivatives by all parties involved in a transaction, especially traders, struct…

Добавленo: Рейтинг: 3 Комментариев 0 шт.
The Handbook of Equity Market Anomalies. Translating Market Inefficiencies into Effective Investment Strategies
Добавить В библиотекуАвторизуйтесь, чтобы добавить
3
Аннотация на книгу:

Investment pioneer Len Zacks presents the latest academic research on how to beat the market using equity anomalies The Handbook of Equity Market Anomalies organizes and summarizes research carried out by hundreds of finance and accounting professors over the last twenty years to identify and measure equity market inefficiencies and provides self-directed individual investors with a framework for …

Добавленo: Рейтинг: 3 Комментариев 0 шт.
Investor's Passport to Hedge Fund Profits. Unique Investment Strategies for Today's Global Capital Markets
Добавить В библиотекуАвторизуйтесь, чтобы добавить
4
Аннотация на книгу:

A comprehensive guide to international investing Opportunities to tap into foreign markets and, in turn, entirely new investment universes-that have traditionally been accessible only to hedge fund managers-are at hand, and this book offers you the straight story on how to look abroad for the next addition to your portfolio. Throughout these pages, the authors skillfully demonstrate how active, cu…

Добавленo: Рейтинг: 4 Комментариев 0 шт.
International Corporate Finance. Value Creation with Currency Derivatives in Global Capital Markets
Добавить В библиотекуАвторизуйтесь, чтобы добавить
5
Аннотация на книгу:

A thorough introduction to corporate finance from a renowned professor of finance and banking As globalization redefines the field of corporate finance, international and domestic finance have become almost inseparably intertwined. It's increasingly difficult to understand what is happening in capital markets without a firm grasp of currency markets, the investment strategies of sovereign wealth f…

Добавленo: Рейтинг: 5 Комментариев 0 шт.
The Monetary System. Analysis and New Approaches to Regulation
Добавить В библиотекуАвторизуйтесь, чтобы добавить
3
Аннотация на книгу:

A groundbreaking work that paves the way for a new, pro-active financial system With The Monetary System, innovative author pairing Jean-Francois Serval and Jean-Pascal Tranie devise a comprehensive economic modeling system that accounts for the unprecedented situation facing international and regional economies by developing a controversial new stance on the operation of money in society. Present…

Добавленo: Рейтинг: 3 Комментариев 0 шт.
Back to the Land. Arthurdale, FDR's New Deal, and the Costs of Economic Planning
Добавить В библиотекуАвторизуйтесь, чтобы добавить
3
Аннотация на книгу:

How New Deal economic policies played out in the small town of Arthurdale, West Virginia Today, the U.S. government is again moving to embrace New Deal-like economic policies. While much has been written about the New Deal from a macro perspective, little has been written about how New Deal programs played out on the ground. In Back to the Land, author CJ Maloney tells the true story of Arthurdale…

Добавленo: Рейтинг: 3 Комментариев 0 шт.
The Number That Killed Us. A Story of Modern Banking, Flawed Mathematics, and a Big Financial Crisis
Добавить В библиотекуАвторизуйтесь, чтобы добавить
3
Аннотация на книгу:

A critical look at the risk measurement tool that has repeatedly hurt the financial world The Number That Killed Us finally tells the «greatest story never told»: how a mysterious financial risk measurement model has ruled the world for the past two decades and how it has repeatedly, and severely, caused market, economic, and social turmoil. This model was the key factor behind the unleashing of t…

Добавленo: Рейтинг: 3 Комментариев 0 шт.
The Road Out of Debt + Website. Bankruptcy and Other Solutions to Your Financial Problems
Добавить В библиотекуАвторизуйтесь, чтобы добавить
3
Аннотация на книгу:

A practical guide to getting out of debt and understanding the option of personal bankruptcy The current credit and financial crises have prompted Joan Feeney, a preeminent Massachusetts Bankruptcy Judge, and Theodore Connolly, a Finance and Bankruptcy Attorney, to write a book that will help people handle their financial troubles. The Road Out of Debt seeks to assist those considering bankruptcy …

Добавленo: Рейтинг: 3 Комментариев 0 шт.
The Heston Model and its Extensions in Matlab and C#
Добавить В библиотекуАвторизуйтесь, чтобы добавить
5
Аннотация на книгу:

Tap into the power of the most popular stochastic volatility model for pricing equity derivatives Since its introduction in 1993, the Heston model has become a popular model for pricing equity derivatives, and the most popular stochastic volatility model in financial engineering. This vital resource provides a thorough derivation of the original model, and includes the most important extensions an…

Добавленo: Рейтинг: 5 Комментариев 0 шт.
The Heston Model and its Extensions in Matlab and C#
Добавить В библиотекуАвторизуйтесь, чтобы добавить
5
Аннотация на книгу:

Tap into the power of the most popular stochastic volatility model for pricing equity derivatives Since its introduction in 1993, the Heston model has become a popular model for pricing equity derivatives, and the most popular stochastic volatility model in financial engineering. This vital resource provides a thorough derivation of the original model, and includes the most important extensions an…

Добавленo: Рейтинг: 5 Комментариев 0 шт.
Mathematics and Statistics for Financial Risk Management
Добавить В библиотекуАвторизуйтесь, чтобы добавить
5
Аннотация на книгу:

Mathematics and Statistics for Financial Risk Management is a practical guide to modern financial risk management for both practitioners and academics. Now in its second edition with more topics, more sample problems and more real world examples, this popular guide to financial risk management introduces readers to practical quantitative techniques for analyzing and managing financial risk. In a c…

Добавленo: Рейтинг: 5 Комментариев 0 шт.
Risk Transfer. Derivatives in Theory and Practice
Добавить В библиотекуАвторизуйтесь, чтобы добавить
3
Аннотация на книгу:

Based on an enormously popular «derivative instruments and applications» course taught by risk expert Christopher Culp at the University of Chicago, Risk Transfer will prepare both current practitioners and students alike for many of the issues and problems they will face in derivative markets. Filled with in-depth insight and practical advice, this book is an essential resource for those who want…

Добавленo: Рейтинг: 3 Комментариев 0 шт.