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Böcker i The Wiley Finance Series-serien

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  • - A Fundamental Approach to Event-Driven Investing
    av Lionel Melka & Amit Shabi
    1 040,-

  • - A Guide to Risk and its Governance in Financial Institutions
    av Mark Laycock
    846,-

    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.

  • av Uwe Wystup
    1 056,-

    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
    790,-

    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
    756,-

    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
    916,-

    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.

  • - Stochastic Calculus
    av Eric Chin
    610,-

    Mathematical finance requires the use of advanced mathematical techniques drawn from the theory of probability, stochastic processes and stochastic differential equations. These areas are generally introduced and developed at an abstract level, making it problematic when applying these techniques to practical issues in finance.

  • av Julien Chevallier
    860,-

    As commodity markets have continued their expansion an extensive and complex financial industry has developed to service them. This industry includes hundreds of participating firms, including asset managers, brokers, consultants, verification agencies and a myriad of other institutions.

  • - Myths and Limits
    av Francois-Serge Lhabitant
    1 286,-

    Offers coverage of how hedge funds work, from risks to rewards. This work discusses - from an investor's perspective - the potential uses, risks, and returns in hedge funds, while offering both the qualitative and quantitative tools investors need to access these types of funds.

  • av DW Bunn
    1 500,-

    Provides econometric analysis of power markets around the world, gives an understanding of their particular characteristics, and assesses the applicability of various methods of price modelling. This book focuses on financial engineering, industrial economics and power systems analysis, as they relate to the behaviour of electricity markets.

  • av Chris (Balatro ltd) Skinner
    700,-

    Banks, clearing houses, corporations, companies, technology firms, consultants and academics are all talking about SEPA (the Single Euro Payments Area) and the PSD (Payment Services Directive) For Europe's banks complying to this regulation involves massive change.

  • av Paul Darbyshire
    916,-

    The second book in Darbyshire and Hampton s Hedge Fund Modelling and Analysis series, Hedge Fund Modelling and Analysis Using MATLAB(R) takes advantage of the huge library of built-in functions and suite of financial and analytic packages available to MATLAB(R).

  • av Gordon Pepper
    816,-

    Professional investors are bombarded on a day to day basis with assertions about the role liquidity is playing and will play in determining prices in the financial markets.

  • - An International Approach
    av Giacomo Morri
    916,-

    A unique, international approach to optimal real estate financing Property Finance is an authoritative guide to both the financial and legal issues surrounding real estate financing.

  • - Private Equity, Hedge and All Core Structures
    av Matthew Hudson
    916,-

    Investment funds are the driving force behind much global private economic development, and yet the world of investment funds can be complex and confusing.

  • - A Value Investor's Guide with Real-life Case Studies
    av Nicolas Schmidlin
    600,-

    The Art of Company Valuation and Financial Statement Analysis: A value investor's guide with real-life case studies covers all quantitative and qualitative approaches needed to evaluate the past and forecast the future performance of a company in a practical manner. Is a given stock over or undervalued? How can the future prospects of a company be evaluated? How can complex valuation methods be applied in practice? The Art of Company Valuation and Financial Statement Analysis answers each of these questions and conveys the principles of company valuation in an accessible and applicable way. Valuation theory is linked to the practice of investing through financial statement analysis and interpretation, analysis of business models, company valuation, stock analysis, portfolio management and value Investing. The book's unique approach is to illustrate each valuation method with a case study of actual company performance. More than 100 real case studies are included, supplementing the sound theoretical framework and offering potential investors a methodology that can easily be applied in practice. Written for asset managers, investment professionals and private investors who require a reliable, current and comprehensive guide to company valuation, the book aims to encourage readers to think like an entrepreneur, rather than a speculator, when it comes to investing in the stock markets. It is an approach that has led many to long term success and consistent returns that regularly outperform more opportunistic approaches to investment.

  • - Convertible Bonds, CoCo Bonds, and Bail-In
    av Jan (Jabre Capital Partners) De Spiegeleer
    916,-

    Introducing a revolutionary new quantitative approach to hybrid securities valuation and risk management To an equity trader they are shares. For the trader at the fixed income desk, they are bonds (after all, they pay coupons, so what's the problem?). They are hybrid securities.

  • - An Object Oriented Approach Using C++
    av Paul Darbyshire
    860,-

    Use powerful C++ algorithms and Object Oriented Programming (OOP) to aid in hedge fund decision making Low interest rates, overcrowded markets and greater regulatory oversight are just some of the many reasons it is close to impossible for hedge funds to draw competitive returns.

  • - A History of the Eurobond Market
    av Chris O'Malley
    610,-

    Bonds without Borders tells the extraordinary story of how the market developed into the principal source of international finance for sovereign states, supranational agencies, financial institutions and companies around the world.

  • - Challenging Perceptions in Asset Allocation and Investment
    av Jerome Booth
    490,-

    The world is upside down. The emerging market countries are more important than many investors realise. They have been catching up with the West over the past few decades.

  • - From Crops to Land, Water and Infrastructure
    av Helyette (University of Paris Geman
    1 056,-

    Explores the agricultural marketplace and the cycles in agricultural commodity prices that can be the key to investor success. This book addresses a wide range topics including agricultural insurance, energy, shipping and bunker prices, sustainability, investments in land, subsidies, agricultural derivatives, and farming risk-management.

  • - Mandatory Central Clearing and Initial Margin Requirements for OTC Derivatives
    av Jon (Independent Trainer and Consultant) Gregory
    916,-

    Practical guidance toward handling the latest changes to the OTC derivatives market Central Counterparties is a practical guide to central clearing and bilateral margin requirements, from one of the industry's most influential credit practitioners.

  • - An Integrated View on Power and Other Energy Markets
    av Markus (EnBW Trading) Burger
    1 270,-

    An overview of today's energy markets from a multi-commodity perspective As global warming takes center stage in the public and private sectors, new debates on the future of energy markets and electricity generation have emerged around the world.

  • - The Market Approach
    av Seth Bernstrom
    646,-

    The market approach aims to establish the value of a company based on how similar firms are priced on the stock exchange or through company transactions. Using the market approach, price-related indicators such as price to earnings, sales and book values are utilised.

  • - Reinventing Value Creation
    av Benoit Leleux
    716,-

    Private equity is more economically significant than ever, as institutions hunt for high returns in a risky world. Private Equity 4. 0 examines the role, workings and contribution of this important industry in a straightforward yet revealing manner. Dr. Josh Lerner Jacob H.

  • av Francois Goossens
    860,-

    Accessible VBA coding for complex financial modelling How to Implement Market Models Using VBA makes solving complex valuation issues accessible to any financial professional with a taste for mathematics.

  • - Advanced Hedging under IFRS 9
    av Juan (BNP Paribas Ramirez
    1 056,-

    The derivative practitioner s expert guide to IFRS 9 application Accounting for Derivatives explains the likely accounting implications of a proposed transaction on derivatives strategy, in alignment with the IFRS 9 standards.

  • - Data Analysis, Models, Simulation, Calibration and Hedging
    av Yves Hilpisch
    916,-

    Supercharge options analytics and hedging using the power of Python Derivatives Analytics with Python shows you how to implement market-consistent valuation and hedging approaches using advanced financial models, efficient numerical techniques, and the powerful capabilities of the Python programming language.

  • - Integration, Profitability, and Risk Management
    av Ioannis (IRIS integrated risk management) Akkizidis
    860,-

    The time for financial technology innovation is now Marketplace Lending, Financial Analysis, and the Future of Credit clearly explains why financial credit institutions need to further innovate within the financial technology arena. Through this text, you access a framework for applying innovative strategies in credit services.

  • av Dong Qu
    860,-

    Manufacturing and Managing Customer-Driven Derivatives Manufacturing and Managing Customer-Driven Derivatives sheds light on customer-driven derivative products and their manufacturing process, which can prove a complicated topic for even experienced financial practitioners.

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