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Корпоративные финансы

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Credit Risk Measurement. New Approaches to Value at Risk and Other Paradigms
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Credit Risk Measurement. New Approaches to Value at Risk and Other ParadigmsLinda Allen
The most cutting-edge read on the pricing, modeling, and management of credit risk available The ris…
Finance. Capital Markets, Financial Management, and Investment Management
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Finance. Capital Markets, Financial Management, and Investment ManagementPamela Peterson Drake
Created by the experienced author team of Frank Fabozzi and Pamela Peterson Drake, Finance examines …
A History of Interest Rates
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A History of Interest RatesSidney Homer
A History of Interest Rates presents a very readable account of interest rate trends and lending pra…
The Theory and Practice of Investment Management
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The Theory and Practice of Investment ManagementHarry M. Markowitz
Expert advice that applies the theory and practice of investment management to today's financial env…
Creating a Balanced Scorecard for a Financial Services Organization
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Creating a Balanced Scorecard for a Financial Services OrganizationMakhijani Naresh
How to tap the power of the balanced scorecard, for financial services organizations Designed to hel…
Advanced Modelling in Finance using Excel and VBA
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Advanced Modelling in Finance using Excel and VBAMary Jackson
This new and unique book demonstrates that Excel and VBA can play an important role in the explanati…
Multi-moment Asset Allocation and Pricing Models
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Multi-moment Asset Allocation and Pricing ModelsBertrand Maillet
While mainstream financial theories and applications assume that asset returns are normally distribu…
Business Valuation and Taxes
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Business Valuation and TaxesShannon P. Pratt
Disputes over valuation issues fill the court's dockets and for good reason, fair market valuations …
Swiss Annuities and Life Insurance. Secure Returns, Asset Protection, and Privacy
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Swiss Annuities and Life Insurance. Secure Returns, Asset Protection, and PrivacyMario A. Mata
Swiss Annuities and Life Insurance examines the key characteristics of Swiss annuities and life insu…
The Volatility Course
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The Volatility CourseGeorge A. Fontanills
It takes a special set of trading skills to thrive in today's intensely volatile markets, where poin…
Supermoney
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SupermoneyАдам Смит
"Adam Smith continues to dazzle and sparkle! With the passage of time, Supermoney has, if anything, …
Nerds on Wall Street. Math, Machines and Wired Markets
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Nerds on Wall Street. Math, Machines and Wired MarketsTheodore R. Aronson
An intriguing look at how technology is changing financial markets, from an innovator on the frontli…
Trading Chaos. Maximize Profits with Proven Technical Techniques
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Trading Chaos. Maximize Profits with Proven Technical TechniquesBill M. Williams
How to trade the markets by integrating Chaos Theory with market sentiment In the first edition of T…
Practical Speculation
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Practical SpeculationLaurel Kenner
The follow-up to Victor Niederhoffer's critically and commercially acclaimed book The Education of a…
Investment Banking
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Investment BankingJoshua Pearl
Investment Banking, UNIVERSITY EDITION is a highly accessible and authoritative book written by inve…
Governance, Compliance and Supervision in the Capital Markets, + Website
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Governance, Compliance and Supervision in the Capital Markets, + WebsiteMichael McMaster
The definitive guide to capital markets regulatory compliance Governance, Compliance, and Supervisio…
The Handbook of News Analytics in Finance
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The Handbook of News Analytics in FinanceMitra Leela
The Handbook of News Analytics in Finance is a landmark publication bringing together the latest mod…
Exotic Options and Hybrids. A Guide to Structuring, Pricing and Trading
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Exotic Options and Hybrids. A Guide to Structuring, Pricing and TradingBouzoubaa Mohamed
The recent financial crisis brought to light many of the misunderstandings and misuses of exotic der…
The Art of Credit Derivatives. Demystifying the Black Swan
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The Art of Credit Derivatives. Demystifying the Black SwanGarcia Joao
Credit derivatives have been instrumental in the recent increase in securitization activity. The com…
Financial Modelling. Theory, Implementation and Practice with MATLAB Source
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Financial Modelling. Theory, Implementation and Practice with MATLAB SourceKienitz Joerg
Financial modelling Theory, Implementation and Practice with Matlab Source Jörg Kienitz and Daniel W…
Asset and Risk Management
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Asset and Risk ManagementThierry Lopez
The aim of this book is to study three essential components of modern finance – Risk Management, Ass…
Market Risk Management for Hedge Funds
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Market Risk Management for Hedge FundsYann Schorderet
This book provides a cutting edge introduction to market risk management for Hedge Funds, Hedge Fund…
Macrofinancial Risk Analysis
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Macrofinancial Risk AnalysisSamuel Malone
Macrofinancial risk analysis Dale Gray and Samuel Malone Macrofinancial Risk Analysis provides a new…
Corporate Risk Management
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Corporate Risk ManagementFaisal F. Al-Thani
The book analyzes, compares, and contrasts tools and techniques used in risk management at corporate…
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