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  • US Withholding Tax

    Practical Implications of QI and FATCA

    de R. McGill ...
    Series series Economics and Finance (R0)
    The US is the world's largest capital market. Its withholding tax system is also the most complex. This book is essential reading for investors and intermediaries trying to comply with US QI and FATCA tax regulations. It guides the reader through these complex regulations with simple and practical insights into how to meet these compliance burdens. ... Leer más

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  • The International Handbook of Public Financial Management

    The Handbook is a virtual encyclopedia of public financial management, written by topmost experts, many with a background in the IMF and World Bank. It provides the first comprehensive guide to the subject that has been published in more than ten years. The book is aimed at a broad audience of academics/students, government officials, development agencies and practitioners. It covers both bread ... Leer más

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  • Value-Based Working Capital Management

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    de G. Michalski ...
    Series series Economics and Finance (R0)
    Value-Based Working Capital Management analyzes the causes and effects of improper cash flow management between entrepreneurial organizations with varying levels of risk. This work looks at the motives and criteria for decision-making by entrepreneurs in their efforts to protect the financial security of their businesses and manage financial liquidity. Michalski argues that businesses exposed to ... Leer más

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  • Multiple Interest Rate Analysis

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    de M. Osborne ...
    Series series Economics and Finance (R0)
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  • Understanding Investment Funds

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    Edición de V. Terraza, H. Razafitombo ...
    Series series Economics and Finance (R0)
    In light of recent financial crises, the role of investment funds is a recurring subject for discussion. Traditional methods must be adapted with the objective to strengthen scientific knowledge of investment funds. This book provides new insights, ideas and empirical evidence to improve tools and methods for fund performance analysis. ... Leer más

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  • Risk Tolerance in Financial Decision Making

    Edición de C. Lucarelli, G. Brighetti ...
    Series series Economics and Finance (R0)
    This book sheds light on the emotional side of risk taking behaviour using an innovative cross-disciplinary approach, mixing financial competences with psychology and affective neuroscience. In doing so, it shows the implications for market participants and regulators in terms of transparency and communication between intermediaries and customers. ... Leer más

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  • Retail Credit Risk Management

    Edición de M. Anolli, E. Beccalli, T. Giordani ...
    Series series Economics and Finance (R0)
    Introducing the fundamentals of retail credit risk management, this book provides a broad and applied investigation of the related modeling theory and methods, and explores the interconnections of risk management, by focusing on retail and the constant reference to the implications of the financial crisis for credit risk management. ... Leer más

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    Having the right investment beliefs and putting them into practice is key to delivering the right results. Decision makers in the investment industry should worry less about the stocks and products they pick for their clients and more about getting the big picture right; developing investment beliefs are instrumental in making the right choices. ... Leer más

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    Series series Economics and Finance (R0)
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    de S. Finlay ...
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    Every year, financial services organizations make billions of dollars worth of decisions using automated systems. For example, who to give a credit card to and the premium someone should pay for their home insurance. This book explains how the forecasting models, that lie at the heart of these systems, are developed and deployed. ... Leer más

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    Edición de P. Molyneux ...
    Series series Economics and Finance (R0)
    This text comprises a selection of papers that provide state-of-the-art insights into research focusing on dimensions of bank strategy, governance and the role of credit rating agencies that were presented at the European Association of University Teachers of Banking and Finance Conference, September 2010. ... Leer más

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    Implications for Asset Pricing, Risk Management, and Financial Regulation

    Series series Economics and Finance (R0)
    Andria van der Merwe provides a thorough guide to the critical tools needed to navigate liquidity markets and value security pricing in the presence of market frictions and information asymmetries. This is essential reading for anyone with a current or future interest in liquidity models, market structures, and trading mechanisms. ... Leer más

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