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  • - A Journey into CDOs, Copulas, Correlations and Dynamic Models
    av Damiano (DerivativeFitch) Brigo
    424,-

    The recent financial crisis has highlighted the need for better valuation models and risk management procedures, better understanding of structured products, and has called into question the actions of many financial institutions.

  • - A Step-by-Step Guide to Forwards, Futures, Swaps and Options
    av Andrew M. Chisholm
    664,-

    Derivatives are everywhere in the modern world and it is important for everyone in banking, investment and finance to have a good understanding of the subject. Derivatives Demystified provides a step-by-step guide to the subject, enabling the reader to have a solid, working understanding of key derivative products.

  • - From Policy to Pitfalls
    av Gudni Adalsteinsson
    892,-

    Liquidity risk is in the spotlight of both regulators and management teams across the banking industry. The European banking regulator has introduced and implemented a stronger liquidity regulatory framework and local regulators have made liquidity a top priority on their supervisory agenda. Banks have accordingly followed suit.

  • - A Bayesian Approach to the Analysis of Financial Stress
    av Riccardo (Royal Bank of Scotland Group) Rebonato
    685,-

    In Coherent Stress Testing: A Bayesian Approach, industry expert Riccardo Rebonato presents a groundbreaking new approach to this important but often undervalued part of the risk management toolkit.

  • - The Theory and Practice of Forecasting Market Risk with Implementation in R and Matlab
    av Jon (London School of Business) Danielsson
    736,-

    Financial Risk Forecasting is a complete introduction to practical quantitative risk management, with a focus on market risk.

  • - Strategies for Airlines, Shippers and Other Consumers
    av Simo M. Dafir
    840,-

    A hands-on guide to navigating the new fuel markets Fuel Hedging and Risk Management: Strategies for Airlines, Shippers and Other Consumers provides a clear and practical understanding of commodity price dynamics, key fuel hedging techniques, and risk management strategies for the corporate fuel consumer.

  • av Gunter (University of Ulm) Loeffler
    1 034,-

    It is common to blame the inadequacy of credit risk models for the fact that the financial crisis has caught many market participants by surprise. On closer inspection, though, it often appears that market participants failed to understand or to use the models correctly.

  • - Tools and Techniques to Measure the Value of Banks, Insurance Companies and Other Financial Institutions
    av Mario Massari
    921

    This book presents the main valuation approaches that can be used to value financial institutions.

  • - An Investor's Guide to Harvesting Market Rewards
    av Antti (Brevan Howard Asset Management) Ilmanen
    669,-

    This comprehensive reference delivers a toolkit for harvesting market rewards from a wide range of investments. Written by a world-renowned industry expert, the reference discusses how to forecast returns under different parameters.

  • - A Practical Guide for Quants, Traders and Validators
    av Massimo (IMI Bank) Morini
    921

    ? Understanding and Managing Model Risk is a guide to the validation and risk management of quantitative models used for pricing and hedging.

  • Spar 15%
    - A Relative Value Guide
    av Neil C. (Financial Markets Training Limited) Schofield
    624,-

    * In this book, the authors give an applied approach to relative value techniques, showing readers how to decide on the best place to put their money in order to get the best return.

  • - Step-by-Step Exercises to help you Master the Fundamentals of Islamic Banking and Finance
    av Brian (London Kettell
    453,-

    ? This is the first practical workbook of its kind that promotes the understanding of Islamic banking and finance ? The Islamic Banking and Finance Workbook allows readers to self-test their knowledge of Islamic finance and banking concepts.

  • av Hills Chapman & Robert J. (Hornagold
    1 063,-

    Your business reputation can take years to build and mere minutes to destroy The range of business threats is evolving rapidly but your organization can thrive and gain a competitive advantage with your business vision for enterprise risk management.

  • - Calculating Value and Estimating Discounts in the New Market Environment
    av Phelps GmbH) Dodel & Kerstin (Duff
    850

    A guide to the changing face of valuation in private firm M&A transactions. Based on the author's professional experience, it describes a sensible approach to using discounts in private company valuations and provides readers with an appreciation for the need to weigh a broader range of influences on value in the M&A process.

  • - The Definitive Guide to Understanding and Using Published Cash Flow Data
    av Timothy Jury
    708,-

    This book is the definitive guide to cash flow statement analysis and forecasting. It takes the reader from an introduction about how cash flows move within a business, through to a detailed review of the contents of a cash flow statement. This is followed by detailed guidance on how to restate cash flows into a template format.

  • - A Guide to What Drives the Price of Oil in Today's Markets
    av Salvatore Carollo
    580,-

    Explains that the truth behind increasingly volatile oil market is that over the years oil prices have come untethered from all classical notions of supply and demand and have transcended any country's, consortium's, cartel's, or corporate entity's powers to control them.

  • av Simon (Birkbeck University of London) Hubbert
    573,-

    Everything you need to know in order to manage risk effectively within your organization You cannot afford to ignore the explosion in mathematical finance in your quest to remain competitive.

  • - How to Successfully Launch and Operate a Hedge Fund
    av Daniel A. Strachman
    1 017

    Updated edition of the book that gives investors, advisors, and managers the tools they need to launch and maintain a hedge fund in today's economy The hedge fund industry has gone through dramatic changes in recent years.

  • - Issues and Cases
    av Jean-Paul (Kellogg School of Management Louisot
    978,-

    A wealth of international case studies illustrating current issues and emerging best practices in enterprise risk management Despite enterprise risk management's relative newness as a recognized business discipline, the marketplace is replete with guides and references for ERM practitioners.

  • - Understanding and Addressing the Failures in Risk Management, Governance and Regulation
    av Adrian Docherty
    559,-

    Why did the financial crisis happen? Why did no one see it coming? And how did our banks lose so much of our money? What's being done to sort out the banking industry? And will it work? These are the questions that industry experts Adrian Docherty and Franck Viort cover in Better Banking.

  • av Juan (BNP Paribas Ramirez
    921

    Equity strategies are closely guarded secrets and as such, there is very little written about how investors and corporate can utilise equity vehicles as part of their growth strategies.

  • - A Funding Risk Handbook
    av Aldo (UniCredit Group) Soprano
    524,-

    Robust management of liquidity risk within the changing regulatory framework Liquidity Management applies current risk management theory, techniques, and processes to liquidity risk control and management to help organizations prepare in case of future economic crisis and changing regulatory framework.

  • av Brian (London Kettell
    523,-

    ? A straightforward introduction to the core concepts of Islamic finance.

  • - A Theory of the Valuation of Firms
    av Lutz (Institut fur Bank- und Finanzwirtschaft Kruschwitz
    770,-

    Firm valuation is currently a very exciting topic. It is interesting for those economists engaged in either practice or theory, particularly for those in finance. The literature on firm valuation recommends logical, quantitative methods, which deal with establishing today's value of future free cash flows.

  • - A Fundamental Approach to Event-Driven Investing
    av Amit Shabi & Lionel Melka
    1 020

  • - A Guide to Risk and its Governance in Financial Institutions
    av Mark Laycock
    714,-

    Never before has there been such pressure for organizations to commit to more rigorous corporate governance values. Risk Management at the Top presents a current, non-executive director's guide to risk management and its governance within the financial institutions they serve.

  • Spar 14%
    av Uwe Wystup
    885

    There has been an explosive growth in the number of corporates, investors and financial institutions turning to structured products to achieve cost savings, risk controls and yield enhancements.

  • - Tools, Applications and Total Performance
    av Luc Nijs
    770,-

    An in-depth explanation of mezzanine finance Mezzanine finance products, which have grown increasingly popular in recent years, involve a unique and complex form of analysis because of their hybrid nature.

  • - Risk management for portfolios of limited partnership funds
    av Thomas Meyer
    736,-

    Arms investors with powerful new tools for measuring and managing the risks associated with the various illiquid asset classes. This book provides an overview of illiquid fund investments, focusing on what the main risks of these asset classes are and how to measure those risks in today's regulatory environment.

  • - Equity Derivatives, Volume 2
    av Eric Chin
    892,-

    Detailed guidance on the mathematics behind equity derivatives Problems and Solutions in Mathematical Finance Volume II is an innovative reference for quantitative practitioners and students, providing guidance through a range of mathematical problems encountered in the finance industry.

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