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  • Artificial Intelligence in Financial Markets

    Cutting Edge Applications for Risk Management, Portfolio Optimization and Economics

    Series series Economics and Finance (R0)
    As technology advancement has increased, so to have computational applications for forecasting, modelling and trading financial markets and information, and practitioners are finding ever more complex solutions to financial challenges. Neural networking is a highly effective, trainable algorithmic approach which emulates certain aspects of human brain functions, and is used extensively in ... Leer más

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  • Islamic Finance in Western Higher Education

    Developments and Prospects

    Edición de A. Belouafi, A. Belabes, C. Trullols ...
    Series series Economics and Finance (R0)
    This is the first of its kind in its topical coverage of the developments and prospects of Islamic finance education at Western higher education. Intended to establish itself as a unique reference for academics and researchers this book gives an insight into ethics and values in curricula development at business schools and in finance departments. ... Leer más

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  • The International Corporate Governance System

    Audit Roles and Board Oversight

    de F. Lessambo ...
    Series series Economics and Finance (R0)
    This book provides a comprehensive approach to Corporate Governance, Audit Process and Risk Management. Furthermore, it provides an analytical and comprehensive approach of the issues facing governance directors, internal and external auditors, risk managers, and public officials conducting assessments based upon the Report on Standards and Codes. ... Leer más

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  • Criminal Capital

    How the Finance Industry Facilitates Crime

    de S. Platt ...
    Criminal Capital is an engaging but authoritative account of how financial structures and products can and are being used to evade proper scrutiny and enable criminal activity and what can be done about it. Based on the analysis of the financial methods that are frequently used by criminals, it deals with the widespread abuse of financial systems. ... Leer más

    $31.99 USD

  • A Guide to Trade Credit Insurance

    This compact volume is a practical guide for anyone interested in Trade Credit Insurance. The International Credit Insurance & Surety Association (ICISA) presents an approachable but detailed guide written collaboratively by carefully selected industry experts. The guide describes the ‘lifeline’ of the credit insurance product, from the initial application stage to the expiration phase of the ... Leer más

    $35.99 USD o gratis con Kobo Plus

  • Export Credit Insurance and Guarantees

    A Practitioner's Guide

    de Z. Salcic ...
    Series series Economics and Finance (R0)
    The first practitioner handbook on export credit insurance and guarantees, providing manufacturers, exporters, bankers, and lawyers with a much needed resource. The book contains descriptions and analyses of almost every type of export credit insurance and guarantee used in international trade with explanations about the risks inherent in each. ... 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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  • Value-Based Working Capital Management

    Determining Liquid Asset Levels in Entrepreneurial Environments

    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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  • Fixed Income Analytics

    Bonds in High and Low Interest Rate Environments

    Series series Economics and Finance (R0)
    This book analyses and discusses bonds and bond portfolios. Different yields and duration measures are investigated. The transition from a single bond to a bond portfolio leads to the equation for the internal rate of return. Its solution is analyzed and compared to different approaches proposed in the financial industry. The impact of different yield scenarios on a model bond portfolio is ... Leer más

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  • Securitization and the Global Economy

    History and Prospects for the Future

    Series series Economics and Finance (R0)
    This book examines the controversial issue of securitization in a global, historical context. It traces its origins and compares evidence of securitization across countries, linking differences to variations in legal, political, and cultural regimes. By incorporating the history and current status of securitization (including sources of value and risk) with alternative markets and future outlooks ... Leer más

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  • Interest Rate Modelling in the Multi-Curve Framework

    Foundations, Evolution and Implementation

    de M. Henrard ...
    Series series Economics and Finance (R0)
    Following the financial crisis dramatic market changes, a new standard in interest rate modelling emerged, called the multi-curve framework. The author provides a detailed analysis of the framework, through its foundations, evolution and implementation. The book also covers recent extensions to collateral and stochastic spreads modelling. ... Leer más

    $62.99 USD