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  • Sách/Book


  • Authors: Stephen Cecchetti (2015)

  • Cecchetti & Schoenholtz's Money, Banking, and Financial Markets stays relevant and interesting through the text's unique emphasis on the Five Core Principles, the early introduction of risk, an integrated global perspective, and the integration of FRED data in the text and problem material. By focusing on the big picture via core principles, Cecchetti & Schoenholtz teaches students the rationale for financial rules and institutional structure so that even when the financial system evolves, students' knowledge will not be out of date.

  • Sách/Book


  • Authors: Stephen A. Ross (2016)

  • The Eleventh Edition continues the tradition of excellence that has earned Fundamentals of Corporate Finance its status as market leader. McGraw-Hill's adaptive learning component, LearnSmart, provides assignable modules that help students master chapter core concepts and come to class more prepared.

  • Sách/Book


  • Authors: Zvi Bodie (2022)

  • This text places great emphasis on asset allocation while presenting the practical applications of investment theory. The text also focuses on investment analysis, which allows us to present the practical applications of investment theory and convey practical value insights. A collection of Excel spreadsheets is provided to give you the tools to explore concepts more deeply.

  • Sách/Book


  • Authors: Joerg Kienitz (2012)

  • The book enables the reader to model, design and implement a wide range of financial models for derivatives pricing and asset allocation, providing practitioners with complete financial modelling workflow, from model choice, deriving prices and Greeks using (semi-) analytic and simulation techniques, and calibration even for exotic options

  • Sách/Book


  • Authors: Roger Staiger (2018)

  • Foundations of Real Estate Financial Modelling, Second Edition is specifically designed to provide the scalable basis of pro forma modelling for real estate projects. The book introduces students and professionals to the basics of real estate finance theory prior to providing a step-by-step guide for financial real estate model construction using Excel.

  • Sách/Book


  • Authors: - (2018)

  • "Created for banking and finance professionals with a desire to expand their management skillset, this book focuses on how banks manage assets and liabilities, set up governance structures to minimize risks, and approach such critical areas as regulatory disclosures, interest rates, and risk hedging. It was written by the experts at the world-renowned Hong Kong Institute of Bankers, an organization dedicated to providing the international banking community with education and training"--

  • Sách/Book


  • Authors: Steve Keen (2017)

  • The Financial Crash that convulsed the world in 2008 had cataclysmic effects on the global economy, and took conventional economists completely by surprise. Many leading commentators, taken in by the hubris of economics, declared shortly before the crisis that the magical recipe for eternal stability had been found. Less than a year later, the biggest economic crisis since the Great Depression erupted. In this compelling and explosive book, Steve Keen, one of the very few economists who anticipated the crash, shows why the self-declared experts were wrong and offers a realistic, monetary approach to economics that can warn of crises before they happen. He shows how ever-rising levels of private debt make another financial crisis almost inevitable unless politicians tackle the real d...

  • Sách/Book


  • Authors: Gilles Dufrenot (2021)

  • The book provides a comprehensive overview of the latest econometric methods for studying the dynamics of macroeconomic and financial time series. It examines alternative methodological approaches and concepts, including quantile spectra and co-spectra, and explores topics such as non-linear and non-stationary behavior, stochastic volatility models, and the econometrics of commodity markets and globalization.

  • Sách/Book


  • Authors: Peter S. Rose (2006)

  • The seventh edition is the most up-to-date discussion of the newest banking and financial-services laws and regulations currently available, encompassing provisions of the new federal consumer bankruptcy rules (the first major changes in the U.S. bankruptcy code in nearly 30 years) as well as the newest rules concerning electronic banking, customer privacy, and the first major reforms in the FDIC insurance system in more than a quarter of a century.

  • Sách/Book


  • Authors: Zvi Bodie (2015)

  • This edition introduces students to current investment issues that are the concerns of all investors. Our book arms students with the skills to conduct a sophisticated assessment of current issues and debates covered by both the popular media and more specialized finance journals. Whether they plan to become an investment professional or simply a sophisticated individual investor, they will find these skills essential. In an effort to link theory to practice, many features of this text are designed to be consistent with and relevant to the CFA curriculum, including end-of-chapter problems from past CFA exams