Finance
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Risk Management: Approaches for Fixed Income MarketsBei Finanzinstituten spielt das Risikomanagement eine immer grö ere Rolle. Dieses Buch wendet die neuesten Techniken zur Erstellung von Finanzmodellen auf das Risikomanagement festverzinslicher Wertpapiere an. Geschrieben von zwei erfahrenen Experten im Bereich Risikomanagement, bietet dieser Band eine faszinierende Mischung aus Wirtschaft und Finanzen,...
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High Performance Options Trading: Option Volatility & Pricing Strategies [With Optionvue CD]The essential resource for the successful option trader High Performance Options Trading offers a fresh perspective on trading options from a seasoned options trader programmer/engineer, Leonard Yates. Drawing on twenty-five years of experience as an options trader and software programmer, Yates has written this...
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How to Save Thousands of Dollars on Your Home MortgageFind The Home Mortgage That's Right For You Finding the right mortgage can be complex, confusing, and frustrating. But that doesn't mean you have to settle for anything other than the terms you want. This indispensable and newly updated second edition of How to...
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The Fast Forward MBA in FinanceJetzt erscheint der Finanz-Klassiker in der 2. aktualisierten und erweiterten Auflage. Die Erstauflage dieses Nachschlagewerkes wurde weltweit 50.000 Mal verkauft. Hier verschaffen Sie sich rasch einen Überblick über Verfahren und Methoden des Finanz- und Rechnungswesens. Zu den behandelten Themen gehören u.a. Jahresabschluss, betriebswirtschaftlicher Gewinn,...
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Global Convertible Investing: The Gabelli Way"Global Convertible Investing" ist eine verständlich geschriebene Einführung zum Thema wandelbare Wertpapiere. Das Buch eignet sich sowohl für Anfänger als auch für fortgeschrittene Leser. Es behandelt die Grundlagen wandelbarer Wertpapiere, ihre Preisbildung, Bewertung und Arbitrage sowie spezielle Aspekte dieses Marktbereiches. Autor Hartswell Woodson erklärt...
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- €64,14 EUR
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Bear Book: Survive and Profit CIn der au ergewöhnlichen Volatilität der Märkte sehen die meisten Analysten ein sich fortsetzender Trend - ein Zeichen für die haarsträubende Instabilität der Finanzmärkte. Am 28 Oktober 1997 fiel der Dow um 500 Prozentpunkte. Investoren weltweit sind auf diese Weise schmerzlich an die Börsenweisheit...
- €71,27 EUR
- €71,27 EUR
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Securitization: Structuring and Investment AnalysisA complete guide to securitization. * Analyzes leases, tax liens, and other new securitization markets developing globally. * Contains exercises and examples taken from real transactions. * Companion CD-ROM includes calculation tools and examples, data for models, ongoing updates on models, and Q&A with...
- €228,05 EUR
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An Introduction to AnalysisIncludes bibliographical references and index.Author: Ruey S. TsayPublisher: WileyPublished: 10/29/2012Pages: 416Binding Type: HardcoverWeight: 1.54lbsSize: 9.30h x 6.10w x 1.00dISBN: 9780470890813About the AuthorRUEY S. TSAY, PhD, is H.G.B. Alexander Professor of Econometrics and Statistics at The University of Chicago Booth School of Business. Dr. Tsay...
- €353,83 EUR
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The Profitable Art and ScienceEnter the world of vibration trading with a new methodology for making more money, more safely What if you could enter the markets and know, in advance, the exact value of trades needed to sustain a losing streak, by knowing their Martingale limits, to...
- €92,65 EUR
- €92,65 EUR
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Bank Asset and Liability ManagAn in-depth look at how banks and financial institutions manage assets and liabilities 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,...
- €95,02 EUR
- €95,02 EUR
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The Bank Credit Analysis HandbA hands-on guide to the theory and practice of bank credit analysis and ratings In this revised edition, Jonathan Golin and Philippe Delhaise expand on the role of bank credit analysts and the methodology of their practice. Offering investors and practitioners an insider's perspective...
- €448,97 EUR
- €448,97 EUR
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Trading the Fixed Income, Infl"In this book, the authors give an applied approach to relative value techniques, showing readers how to decide on the best place to put their money in order to get the best return. They cover multiple asset classes -- fixed income, commodities and equities...
- €163,44 EUR
- €163,44 EUR
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Exotic Options HybridsAuthor: OsseiranPublisher: John Wiley & SonsPublished: 06/08/2010Pages: 400Binding Type: HardcoverWeight: 1.80lbsSize: 9.70h x 6.80w x 1.30dISBN: 9780470688038About the AuthorMOHAMED BOUZOUBAA is an experienced practitioner in the world of derivatives, and is currently Head of Derivatives Trading and Structuring at CDG Capital. His professional expertise...
- €216,65 EUR
- €216,65 EUR
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Credit Risk Modeling using ExcIt is common to blame the inadequacy of credit risk models for the fact that the financial crisis has caught many market participants by surprise. On closer inspection, though, it often appears that market participants failed to understand or to use the models correctly....
- €216,65 EUR
- €216,65 EUR
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Don't Count on It! Reflections on Investment Illusions, Capitalism, Mutual Funds, Indexing, Entrepreneurship, Idealism, and HeroesPraise for Don't Count On It! "This collection of Jack Bogle's writings couldn't be more timely. The clarity of his thinking--and his insistence on the relevance of ethical standards--are totally relevant as we strive to rebuild a broken financial system. For too many years,...
- €42,68 EUR
- €42,68 EUR
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GSI Hedge Funds 3eThe book on hedge fund basics, completely updated to reflect today's post-crisis industry The hedge fund industry has been reeling in the wake of recent Ponzi schemes and insider trading scandals as well as the loss of billions of dollars in assets under management...
- €28,43 EUR
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Securities Fraud: Detection, Prevention, and ControlThe first complete, expert guide to securities and investment fraud Filled with expert guidance for detection and prevention of all kinds of securities fraud and investment misconduct, Securities Fraud helps you identify red flags of fraud and offers practical ways to detect and prevent...
- €142,53 EUR
- €142,53 EUR
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MarketPsychAn investor's guide to understanding the most elusive (yet most important) aspect of successful investing - yourself. Why is it that the investing performance of so many smart people reliably and predictably falls short? The answer is not that they know too little about...
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- €56,94 EUR
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Fisher Investments on TelecomThe Fisher Investments On series is designed to provide individual investors, students, and aspiring investment professionals the tools necessary to understand and analyze investment opportunities--primarily for investing in global stocks. Each guide is an easily accessible primer to economic sectors, regions, or other components...
- €71,19 EUR
- €71,19 EUR
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Fisher Investments on Consumer DiscretionaryAuthor: Fisher InvestmentsPublisher: WileyPublished: 06/09/2010Pages: 208Binding Type: HardcoverWeight: 0.84lbsSize: 9.26h x 6.38w x 0.78dISBN: 9780470527030About the AuthorERIK RENAUD is a Consumer Discretionary Research Analyst at Fisher Investments. Renaud graduated from Santa Clara University with a bachelor's degree in finance. Hailing from Minnetonka, Minnesota, he...
- €71,19 EUR
- €71,19 EUR
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