wyszukanych pozycji: 11
Signs that Markets are Coming Back
ISBN: 9781783509317 / Angielski / Twarda / 2014 / 178 str. Termin realizacji zamówienia: ok. 22 dni roboczych. The volume includes two contributions on hedge funds. One evaluates the performance of hedge funds in market environments that are conducive to active management versus environments that are not. The other provides an empirical study of the market timing skills of hedge fund managers. Additionally, we have two contributions in the area of options. One extends the real options approach to options in which the underlying assets are information items such as seismic databases (rather than tangible real assets), opening the way for a complete analysis of investments along the so-called "Virtual...
The volume includes two contributions on hedge funds. One evaluates the performance of hedge funds in market environments that are conducive to active...
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cena:
536,06 zł |
Overlaps of Private Sector with Public Sector Around the Globe
ISBN: 9781784419561 / Angielski / Twarda / 2015 / 200 str. Termin realizacji zamówienia: ok. 22 dni roboczych. The volume starts with the trends in bank deposits (and hence available financial resources) in the region around North Dakota's Bakken Formation oil reserves. Then comes a contribution analyzing how various regulatory uncertainties are undermining real estate investment. We have a study of corporate governance and firm performance for companies listed on the Indian Exchange, plus an ex-dividend analysis of emerging country stocks listed on the Dhaka Stock Exchange (DSE), where the tax rate is higher on dividends than on capital gains. Further analysis of dividend policy includes a study of...
The volume starts with the trends in bank deposits (and hence available financial resources) in the region around North Dakota's Bakken Formation oil ...
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cena:
508,70 zł |
Research in Finance
ISBN: 9781780527529 / Angielski / Twarda / 2012 / 300 str. Termin realizacji zamówienia: ok. 22 dni roboczych. The theme of this volume is "Dealing with Volatility and Enhancing Performance." The lead chapter sets the theme by giving insight into using the Chicago Board Option Exchange Volatility Index (CBOE VIX) futures in hedging strategies for equity market investors (and hedge funds). During a time when there is much concern about the perceived volatility of global equity markets, the insights offered here could be reassuring as well as useful. The second chapter offers insights into the efficiency (or lack thereof) of attempts for forecast global earnings. Then, the third chapter offers new...
The theme of this volume is "Dealing with Volatility and Enhancing Performance." The lead chapter sets the theme by giving insight into using the Chic...
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585,29 zł |
Research in Finance
ISBN: 9781849507264 / Angielski / Twarda / 2010 / 250 str. Termin realizacji zamówienia: ok. 22 dni roboczych. For the last twenty years "The Research in Finance Book Series" has been publishing papers that cover issues of significance and interest in finance and economics. The topics found in the series span a wide range and have made substantial contributions to the literature with articles from key figures in the world of finance. Volume 26, "Coping with Systemic Risk," is no exception and provides a valuable addition to the current research of finance in this area. The lead chapter sets the theme by giving insight into economic systems as packages containing multiple real options where the...
For the last twenty years "The Research in Finance Book Series" has been publishing papers that cover issues of significance and interest in finance a...
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cena:
470,41 zł |
Research in Finance
ISBN: 9780857245410 / Angielski / Twarda / 2011 / 325 str. Termin realizacji zamówienia: ok. 22 dni roboczych. The theme of this volume is 'Recovering from Financial Crisis'. The lead chapter sets the theme by giving insight into the recent surge in going-private transactions (and the corresponding reduction of Initial Public Offerings). The author develops evidence (reaching back 25 years) that going-private transactions tend to be inversely related with the return on diversified equity portfolios, suggesting that the recent upswing in going-private transactions in the United States is not simply the result of the Sarbanes - Oxley Act of 2002. The second chapter offers insights into the recent round...
The theme of this volume is 'Recovering from Financial Crisis'. The lead chapter sets the theme by giving insight into the recent surge in going-priva...
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cena:
568,88 zł |
Research in Finance
ISBN: 9781781907580 / Angielski / Twarda / 2013 / 250 str. Termin realizacji zamówienia: ok. 22 dni roboczych. The theme of Research in Finance vol. 29 is "Dealing with Crisis and Regulation." The first chapter looks for solutions to the European financial crisis, and the second provides a study of audit qualifications for accounting firms in Spain using advanced empirical methods. The next chapters are more international in focus, with topics including: business strategies for competition in Mexico; anomalies in the real return on corporate equity compared to real assets; the stabilizing influence of commodity futures trading in oil and gold. The following chapters explore the unintended consequences...
The theme of Research in Finance vol. 29 is "Dealing with Crisis and Regulation." The first chapter looks for solutions to the European financial cris...
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cena:
508,70 zł |
Innovations in Dequity Financing
ISBN: 9780899304786 / Angielski / Twarda / 1991 / 208 str. Termin realizacji zamówienia: ok. 30 dni roboczych. During the 1980s, and particularly since the market crash of 1987, corporations and entrepreneurs have been seeking new ways to finance the establishment and growth of new businesses. One of the outcomes of these efforts has been the hybrid security, generically called dequity because it is neither a bond nor a stock. In this work, Andrew Chen and John Kensinger examine the various forms of dequity, describing its characteristics, how it evolved, how it's being used, and what the future may hold for it. In looking at the many financial innovations that blended the traits of debt and... During the 1980s, and particularly since the market crash of 1987, corporations and entrepreneurs have been seeking new ways to finance the establi... |
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404,82 zł |
Essays in Financial Economics
ISBN: 9781789733907 / Angielski / Twarda / 2019 / 168 str. Termin realizacji zamówienia: ok. 22 dni roboczych. |
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cena:
426,65 zł |
The Spread of Financial Sophistication Through Emerging Markets Worldwide
ISBN: 9781786351562 / Angielski / Twarda / 2016 / 376 str. Termin realizacji zamówienia: ok. 22 dni roboczych. The broad theme of Volume 32 of Research in Finance is "The Spread of Financial Sophistication Through Emerging Markets Worldwide." Contributions assess the spread of Initial Public Offerings, the use of derivatives to provide stability, corporate governance in emerging markets, and the privatization of the Russian economy. We also gain new insights into applying financial modeling in emerging markets.
The broad theme of Volume 32 of Research in Finance is "The Spread of Financial Sophistication Through Emerging Markets Worldwide." Contributions asse...
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cena:
481,35 zł |
Global Tensions in Financial Markets
ISBN: 9781787148406 / Angielski / Twarda / 2018 / 256 str. Termin realizacji zamówienia: ok. 22 dni roboczych. The volume first investigates the impact ofmacroeconomic variables on equity values in emerging economies as compared withdeveloped economies. Next it affirms the efficiency of the MidcontinentIndependent System Operator electricity exchange. Finally it investigates efforts to stimulate emerging nations around the world.
The volume first investigates the impact ofmacroeconomic variables on equity values in emerging economies as compared withdeveloped economies. Next it...
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cena:
432,12 zł |
Growing Presence of Real Options in Global Financial Markets
ISBN: 9781787148383 / Angielski / Twarda / 2017 / 224 str. Termin realizacji zamówienia: ok. 22 dni roboczych. The broad theme of this volume of Research in Finance is "Comparing the Influence upon Equity Valuation of Strategy Compared with Cash Flow Expectations." Contributions assess the strong role of strategy in equity valuation, compared with valuation of expected dividends.
The broad theme of this volume of Research in Finance is "Comparing the Influence upon Equity Valuation of Strategy Compared with Cash Flow Expectatio...
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cena:
454,00 zł |