ilość książek w kategorii: 1215
Managing Communications in a Crisis
ISBN: 9780566082948 / Angielski / Twarda / 192 str. Termin realizacji zamówienia: ok. 5-8 dni roboczych. The difference between a drama and a crisis is down to good management - or more specifically, good communication. How you communicate with everyone: shareholders, other business partners, employees, the press, and so on, in the hours and days following a potential business crisis is critical. Get it right and the crisis may even strengthen your corporate reputation. Get it wrong and you can imagine the consequences for yourself. Managing Communications in a Crisis details how crisis situations can be identified and dealt with, ensuring the risk to the organisation's financial well-being and...
The difference between a drama and a crisis is down to good management - or more specifically, good communication. How you communicate with everyone: ...
|
|
cena:
661,34 zł |
Global Financial Crisis: Global Impact and Solutions
ISBN: 9781409402718 / Angielski / Twarda / 348 str. Termin realizacji zamówienia: ok. 5-8 dni roboczych. Out of the debate over the effectiveness of the policy responses to the 2008 global financial crisis as well as over the innovativeness of global governance comes this collection by leading academics and practitioners who explore the dynamics of economic crisis and impact. Edited by Paolo Savona, John J. Kirton, and Chiara Oldani Global Financial Crisis: Global Impact and Solutions examines the nature of the recent crisis, its consequences in major regions and countries, the innovations in the ideas, instruments and institutions that constitute national and regional policy responses, building...
Out of the debate over the effectiveness of the policy responses to the 2008 global financial crisis as well as over the innovativeness of global gove...
|
|
cena:
661,34 zł |
Modern Bank Behaviour
ISBN: 9781137001856 / Angielski / Twarda / 223 str. Termin realizacji zamówienia: ok. 5-8 dni roboczych. Updated insight into key facts impacting on financial institutions after the financial crisis, highlighting areas of major policy and academic interest. The book includes ten chapters analysing contrasting issues such as intellectual capital, cost efficiency, bank stability, credit risk and business models for the wealth management industry.
Updated insight into key facts impacting on financial institutions after the financial crisis, highlighting areas of major policy and academic interes...
|
|
cena:
389,98 zł |
The Rise of the Quants: Marschak, Sharpe, Black, Scholes and Merton
ISBN: 9780230274174 / Angielski / Twarda / 195 str. Termin realizacji zamówienia: ok. 5-8 dni roboczych. The third book in the Great Minds in Finance series examines the pricing of securities and the risk/reward trade off through the legends, contribution, and legacies of Jacob Marschak, William Sharpe, Fischer Black and Myron Scholes, and Robert Merton, influencing both theory and practice, answering the question 'how do we measure risk?'
The third book in the Great Minds in Finance series examines the pricing of securities and the risk/reward trade off through the legends, contribution...
|
|
cena:
389,98 zł |
Integrated Bank Analysis and Valuation: A Practical Guide to the ROIC Methodology
ISBN: 9781137307453 / Angielski / Twarda / 192 str. Termin realizacji zamówienia: ok. 5-8 dni roboczych. Leading analyst Sandy Chen provides a thorough guide to the analysis and valuation of banks. Unlike other businesses and institutions, banks have a number of unique characteristics that need to be taken into account when performing a valuation and as such traditional valuation methodologies are unsuitable and more specialized techniques required.
Leading analyst Sandy Chen provides a thorough guide to the analysis and valuation of banks. Unlike other businesses and institutions, banks have a nu...
|
|
cena:
292,48 zł |
Telephone Collection call Scripts & How to respond to Excuses: A Guide for Bill Collectors
ISBN: 9781482084894 / Angielski / Miękka / 58 str. Termin realizacji zamówienia: ok. 5-8 dni roboczych. As someone who has made thousands upon thousands of debt collection calls as a credit manager and first party collector and as an agency owner and third party collector, I wanted to share what I know about making these calls so that you can improve on your calls. To take the fear out of it, just remember that making a collection call is like making a customer service call. You are calling about a problem with the account and you just want to resolve it. You will learn what common excuses people give and what you can say to them in order to keep the call moving in the right direction and not...
As someone who has made thousands upon thousands of debt collection calls as a credit manager and first party collector and as an agency owner and thi...
|
|
cena:
85,24 zł |
Commercial and Investment Banking and the International Credit and Capital Markets: A Guide to the Global Finance Industry and Its Governance
ISBN: 9780230370470 / Angielski / Twarda / 469 str. Termin realizacji zamówienia: ok. 5-8 dni roboczych. An introductory guide to finance and the financial markets, designed to help professionals and students understand the complex finance industry. It is a modern text that covers all major developments in markets in the period since the year 2000, the beginning of the global financial, eurozone and US government debt crises, up to the start of 2012.
An introductory guide to finance and the financial markets, designed to help professionals and students understand the complex finance industry. It is...
|
|
cena:
194,97 zł |
Credit Portfolio Management: A Practitioner's Guide to the Active Management of Credit Risks
ISBN: 9780230391499 / Angielski / Twarda / 260 str. Termin realizacji zamówienia: ok. 5-8 dni roboczych. Credit Portfolio Management is a topical text on approaches to the active management of credit risks. The book is a valuable, up to date guide for portfolio management practitioners. Its content comprises of three main parts: The framework for managing credit risks, Active Credit Portfolio Management in practice and Hedging techniques and toolkits.
Credit Portfolio Management is a topical text on approaches to the active management of credit risks. The book is a valuable, up to date guide for por...
|
|
cena:
331,49 zł |
Acts of God and Man: Ruminations on Risk and Insurance
ISBN: 9780231153676 / Angielski / Miękka / 304 str. Termin realizacji zamówienia: ok. 5-8 dni roboczych. Much has been written about the ups and downs of financial markets, from the lure of prosperity to the despair of crises. Yet a more fundamental and pernicious source of uncertainty exists in today's world: the traditional "insurance" risks of earthquakes, storms, terrorist attacks, and other disasters. Insightfully exploring these "acts of God and man," Michael R. Powers guides readers through the methods available for identifying and measuring such risks, financing their consequences, and forecasting their future behavior within the limits of science. A distinctive characteristic of...
Much has been written about the ups and downs of financial markets, from the lure of prosperity to the despair of crises. Yet a more fundamental and p...
|
|
cena:
149,94 zł |
The Principles of Banking
ISBN: 9780470825211 / Angielski / Twarda / 912 str. Termin realizacji zamówienia: ok. 5-8 dni roboczych. The ultimate guide for bank management: how to survive and thrive throughout the business cycle
An essential guide for bankers and students of finance everywhere, The Principles of Banking reiterates that the primary requirement of banking--sound capital and liquidity risk management--had been forgotten in the years prior to the financial crash. Serving as a policy guide for market practitioners and regulators at all levels, the book explains the keys to success that bankers need to follow during good times in order to be prepared for the bad, providing in-depth guidance and... The ultimate guide for bank management: how to survive and thrive throughout the business cycle
An essential guide for bankers and students ... |
|
cena:
535,50 zł |
Bank Asset and Liability Management
ISBN: 9780470827536 / Angielski / Miękka / 256 str. Termin realizacji zamówienia: ok. 5-8 dni roboczych. An 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, 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.
An in-depth look at how banks and financial institutions manage assets and liabilities
Created for banking and finance professionals with a ... |
|
cena:
214,20 zł |
Dynamic Hedging.
ISBN: 9780471152804 / Angielski / Twarda / 528 str. Termin realizacji zamówienia: ok. 5-8 dni roboczych. Dynamic Hedging is the definitive source on derivatives risk. It provides a real-world methodology for managing portfolios containing any nonlinear security. It presents risks from the vantage point of the option market maker and arbitrage operator. The only book about derivatives risk written by an experienced trader with theoretical training, it remolds option theory to fit the practitioner's environment. As a larger share of market exposure cannot be properly captured by mathematical models, noted option arbitrageur Nassim Taleb uniquely covers both on-model and off-model derivatives...
Dynamic Hedging is the definitive source on derivatives risk. It provides a real-world methodology for managing portfolios containing any nonlinear se...
|
|
cena:
546,21 zł |
Managing Risks in Commercial a
ISBN: 9781118103531 / Angielski / Twarda / 480 str. Termin realizacji zamówienia: ok. 5-8 dni roboczych. A practical guide to the practices and procedures of effectively managing banking risks
Managing Risks in Commercial and Retail Banking takes an in-depth, logical look at dealing with all aspects of risk management within the banking sector. It presents complex processes in a simplified way by providing real-life situations and examples. The book examines all dimensions of the risks that banks face--both the financial risks--credit, market, and operational--and the non-financial risks--money laundering, information technology, business strategy, legal, and... A practical guide to the practices and procedures of effectively managing banking risks Managing Risks in Commercial and Retail Banking |
|
cena:
753,30 zł |
Advances in Financial Risk Management: Corporates, Intermediaries and Portfolios
ISBN: 9781137025081 / Angielski / Twarda / 411 str. Termin realizacji zamówienia: ok. 5-8 dni roboczych. The latest research on measuring, managing and pricing financial risk. Three broad perspectives are considered: financial risk in non-financial corporations; in financial intermediaries such as banks; and finally within the context of a portfolio of securities of different credit quality and marketability.
The latest research on measuring, managing and pricing financial risk. Three broad perspectives are considered: financial risk in non-financial corpor...
|
|
cena:
389,98 zł |
The Front Office Manual: The Definitive Guide to Trading, Structuring and Sales
ISBN: 9781137030689 / Angielski / Twarda / 297 str. Termin realizacji zamówienia: ok. 5-8 dni roboczych. The Front Office Manual is unique, providing clear and direct explanations of tools and techniques relevant to front office work. From how to build a yield curve, to how a swap works, to what exactly 'product control' is supposed to do, this book is essential reading for anyone who works (or wants to work) on the 'sell side'.
The Front Office Manual is unique, providing clear and direct explanations of tools and techniques relevant to front office work. From how to build a ...
|
|
cena:
350,98 zł |
Risk Culture: A Practical Guide to Building and Strengthening the Fabric of Risk Management
ISBN: 9781137263711 / Angielski / Twarda / 180 str. Termin realizacji zamówienia: ok. 5-8 dni roboczych. Risk, or the uncertainty regarding a future event or outcome, characterizes much of what banks, industrial corporations, and governmental agencies must deal with on a daily basis. Indeed, failure to recognize, quantify and manage risk can lead to sometimes significant problems. The very fact that risk exists and has the possibility of creating negative results necessarily means that it has to be actively managed. And, while the quantitative models and governance frameworks used to manage risks are by now well established, the behavioral aspects, centered on the concept of risk culture, are...
Risk, or the uncertainty regarding a future event or outcome, characterizes much of what banks, industrial corporations, and governmental agencies mus...
|
|
cena:
233,97 zł |
OTC Derivatives: Bilateral Trading & Central Clearing: An Introduction to Regulatory Policy, Market Impact and Systemic Risk
ISBN: 9781137293855 / Angielski / Twarda / 287 str. Termin realizacji zamówienia: ok. 5-8 dni roboczych. After the credit crisis, supervisors enacted a range of financial reforms. In particular, they radically changed the nature of the OTC derivatives market via a number of measures, notably mandatory central clearing. This book discusses the market before the crisis, explains what central clearing is, and outlines the consequences of the new rules.
After the credit crisis, supervisors enacted a range of financial reforms. In particular, they radically changed the nature of the OTC derivatives mar...
|
|
cena:
292,48 zł |
Bank Performance, Risk and Securitization
ISBN: 9781137332080 / Angielski / Twarda / 342 str. Termin realizacji zamówienia: ok. 5-8 dni roboczych. The latest scholarly developments in research on banking, financial markets, and the recent financial crisis. This selection of papers were presented at the Wolpertinger Conference held in Valletta, Malta, 2012 and provide insights into bank performance, banking risk, securitisation, bank stability, sovereign debt and derivatives.
The latest scholarly developments in research on banking, financial markets, and the recent financial crisis. This selection of papers were presented ...
|
|
cena:
389,98 zł |
Bank Stability, Sovereign Debt and Derivatives
ISBN: 9781137332141 / Angielski / Twarda / 308 str. Termin realizacji zamówienia: ok. 5-8 dni roboczych. The latest scholarly developments in research on banking, financial markets, and the recent financial crisis. This selection of papers were presented at the Wolpertinger Conference held in Valletta, Malta, 2012 and provide insights into bank performance, banking risk, securitisation, bank stability, sovereign debt and derivatives.
The latest scholarly developments in research on banking, financial markets, and the recent financial crisis. This selection of papers were presented ...
|
|
cena:
194,97 zł |
Risk-Based Investment Management in Practice
ISBN: 9781137346391 / Angielski / Twarda / 475 str. Termin realizacji zamówienia: ok. 5-8 dni roboczych. A practitioner's account of how investment risk affects the decisions of professional investment managers. Jargon-free, with a broad coverage of investment types and asset classes, the non-investment professional will find this book readable and accessible.
A practitioner's account of how investment risk affects the decisions of professional investment managers. Jargon-free, with a broad coverage of inves...
|
|
cena:
194,97 zł |