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  • Contemporary Issues in Financial Institutions and Markets

    Volume II

    This book showcases recent academic work on contemporary issues in financial institutions and markets. It covers a broad range of topics, highlighting the diverse nature of academic research in banking and finance. As a consequence the contributions cover a wide range of issues across a broad spectrum, including: capital structure arbitrage, credit rating agencies, credit default swap spreads, ... Leer más

    $62.99 USD

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  • Expected Returns

    An Investor's Guide to Harvesting Market Rewards

    de Antti Ilmanen ...
    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. Expected returns of major asset classes, investment strategies, and the effects of underlying risk factors such as growth, inflation, liquidity, and different risk ... Leer más

    $74.00 USD

  • Adaptive Asset Allocation

    Dynamic Global Portfolios to Profit in Good Times - and Bad

    Build an agile, responsive portfolio with a new approach to global asset allocationAdaptive Asset Allocation is a no-nonsense how-to guide for dynamic portfolio management. Written by the team behind Gestaltu.com, this book walks you through a uniquely objective and unbiased investment philosophy and provides clear guidelines for execution. From foundational concepts and timing to forecasting and ... Leer más

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  • The Handbook of Trading: Strategies for Navigating and Profiting from Currency, Bond, and Stock Markets

    Series series McGraw-Hill Financial Education Series
    Make the post-meltdown markets work for you, using the unparalleled insight of today’s top global investing experts!“This book provides a collection of papers that examine trading execution, technical trading, and trading strategies, as well as algorithms in different markets (equities, forex, fixed income, exchange traded funds, derivatives, and commodities) around the world. This is particularly ... Leer más

    $98.99 USD

  • Property Valuation

    de Peter Wyatt ...
    This new edition of the ‘all in one' textbook for the postgraduate study of valuation on real estate courses retains its focus on the valuation and appraisal of commercial and industrial property across investment, development and occupier markets. It is structured from the client perspective and covers single-asset pricing, risk and return issues.The structure of the book has been substantially ... Leer más

    $81.00 USD

  • Financial Derivatives

    Pricing and Risk Management

    Edición de James A. Overdahl, Rob Quail ...
    Series Libro 5 - Robert W. Kolb Series
    Essential insights on the various aspects of financial derivativesIf you want to understand derivatives without getting bogged down by the mathematics surrounding their pricing and valuation, Financial Derivatives is the book for you. Through in-depth insights gleaned from years of financial experience, Robert Kolb and James Overdahl clearly explain what derivatives are and how you can prudently ... Leer más

    $57.00 USD

  • Credit Risk Management In and Out of the Financial Crisis

    New Approaches to Value at Risk and Other Paradigms

    Series Libro 528 - Wiley Finance
    A classic book on credit risk management is updated to reflect the current economic crisisCredit Risk Management In and Out of the Financial Crisis dissects the 2007-2008 credit crisis and provides solutions for professionals looking to better manage risk through modeling and new technology. This book is a complete update to Credit Risk Measurement: New Approaches to Value at Risk and Other ... Leer más

    $57.00 USD

  • Credit Risk Management

    Basic Concepts: Financial Risk Components, Rating Analysis, Models, Economic and Regulatory Capital

    Credit Risk Management: Basic Concepts is the first book of a series of three with the objective of providing an overview of all aspects, steps, and issues that should be considered when undertaking credit risk management, including the Basel II Capital Accord, which all major banks must comply with in 2008. The introduction of the recently suggested Basel II Capital Accord has raised many issues ... Leer más

    $143.99 USD

  • Private Wealth

    Wealth Management In Practice

    Edición de Stephen M. Horan ...
    Series Libro 3 - CFA Institute Investment Perspectives
    An in-depth examination of today's most important wealth management issuesManaging the assets of high-net-worth individuals has become a core business specialty for investment and financial advisors worldwide. Keeping abreast of the latest research in this field is paramount. That's why Private Wealth, the inaugural offering in the CFA Institute Investment Perspectives series has been created. As ... Leer más

    $57.00 USD

  • Lectures on Behavioral Macroeconomics

    In mainstream economics, and particularly in New Keynesian macroeconomics, the booms and busts that characterize capitalism arise because of large external shocks. The combination of these shocks and the slow adjustments of wages and prices by rational agents leads to cyclical movements. In this book, Paul De Grauwe argues for a different macroeconomics model--one that works with an internal ... Leer más

    $43.99 USD

  • Risk Management

    Foundations For a Changing Financial World

    Edición de Walter V. "Bud" Haslett Jr. ...
    Series Libro 4 - CFA Institute Investment Perspectives
    Key readings in risk management from CFA Institute, the preeminent organization representing financial analystsRisk management may have been the single most important topic in finance over the past two decades. To appreciate its complexity, one must understand the art as well as the science behind it. Risk Management: Foundations for a Changing Financial World provides investment professionals ... Leer más

    $60.00 USD

  • The Handbook of Equity Market Anomalies

    Translating Market Inefficiencies into Effective Investment Strategies

    Edición de Leonard Zacks ...
    Series Libro 2 - Wiley Finance
    Investment pioneer Len Zacks presents the latest academic research on how to beat the market using equity anomaliesThe 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 ... Leer más

    $48.00 USD