ilość książek w kategorii: 1478
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Risk Uncertainty and Profit
ISBN: 9781614276395 / Angielski / Miękka / 394 str. Termin realizacji zamówienia: ok. 5-8 dni roboczych. 2014 Reprint of 1921 Edition. Full facsimile of the original edition, not reproduced with Optical Recognition Software. In economics, "Knightian uncertainty" is risk that is immeasurable, impossible to calculate. Knightian uncertainty is named after University of Chicago economist Frank Knight (1885-1972), who distinguished risk and uncertainty in his work "Risk, Uncertainty, and Profit" "Uncertainty must be taken in a sense radically distinct from the familiar notion of Risk, from which it has never been properly separated.... The essential fact is that 'risk' means in some cases a quantity...
2014 Reprint of 1921 Edition. Full facsimile of the original edition, not reproduced with Optical Recognition Software. In economics, "Knightian uncer...
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cena:
61,08 zł |
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Risk and Return in Asian Emerging Markets: A Practitioner's Guide
ISBN: 9781137360885 / Angielski / Twarda / 212 str. Termin realizacji zamówienia: ok. 5-8 dni roboczych. Risk and Return in Asian Emerging Markets offers readers a firm insight into the risk and return characteristics of leading Asian emerging market participants by comparing and contrasting behavioral model variables with predictive forecasting methods.
Risk and Return in Asian Emerging Markets offers readers a firm insight into the risk and return characteristics of leading Asian emerging market part...
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cena:
201,72 zł |
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The Chinese Stock Market Volume I: A Retrospect and Analysis from 2002
ISBN: 9781137391094 / Angielski / Twarda / 417 str. Termin realizacji zamówienia: ok. 5-8 dni roboczych. Both quantitative and qualitative analysis is used to review China's stock market in a book containing the latest research on China's IPO market, the 2006-07 market bubble, the development of institutional investors, the stock index futures market, stock sector performance, corporate governance of listed firms and China's growth enterprise market.
Both quantitative and qualitative analysis is used to review China's stock market in a book containing the latest research on China's IPO market, the ...
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cena:
403,47 zł |
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The Chinese Stock Market Volume II: Evaluation and Prospects
ISBN: 9781137464682 / Angielski / Twarda / 336 str. Termin realizacji zamówienia: ok. 5-8 dni roboczych. Both quantitative and qualitative analysis is used to review China's stock market in a book containing the latest research on China's IPO market, the 2006-07 market bubble, the development of institutional investors, the stock index futures market, stock sector performance, corporate governance of listed firms and China's growth enterprise market.
Both quantitative and qualitative analysis is used to review China's stock market in a book containing the latest research on China's IPO market, the ...
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cena:
403,47 zł |
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Financial Risk Management: A Simple Introduction
ISBN: 9781500349240 / Angielski / Miękka / 104 str. Termin realizacji zamówienia: ok. 5-8 dni roboczych. Financial Risk Management: A Simple Introduction presents a detailed guide to some of the central ideas and tools of financial risk management, with theory, examples, formulas, and calculations to illustrate the analysis. Calculate leverage, duration, modified duration, and convexity to find the risk exposure and interest rate risk sensitivity of an asset. Understand bond immunization to manage risk, and assess non-vanilla bond risk using both effective duration and effective convexity. Use value at risk to forecast maximum losses over a period, with detailed step by step instructions...
Financial Risk Management: A Simple Introduction presents a detailed guide to some of the central ideas and tools of financial risk management, with t...
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cena:
49,39 zł |
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A Venture Capital Handbook: : Best Practice Strategies for Investing in Microalgae Biodiesel
ISBN: 9780692258354 / Angielski / Miękka / 68 str. Termin realizacji zamówienia: ok. 5-8 dni roboczych. |
cena:
24,17 zł |
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Developments in Mean-Variance Efficient Portfolio Selection
ISBN: 9781137359919 / Angielski / Twarda / 242 str. Termin realizacji zamówienia: ok. 5-8 dni roboczych. Mean-variance efficient portfolio selection was originally identified by Nobel Laureate Harry Markowitz (1952) and to this day remains one of the most popular approaches to portfolio selection. However the turmoil suffered by stock exchanges as a result of the financial crises in the United States and later in Europe has evoked new interest across the globe for better portfolio management within the existing mean variance framework. Substantial improvements in the availability of large data sets, real time information and software capable of performing complex computations contributes towards...
Mean-variance efficient portfolio selection was originally identified by Nobel Laureate Harry Markowitz (1952) and to this day remains one of the most...
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cena:
201,72 zł |
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Capital Requirements, Disclosure, and Supervision in the European Insurance Industry: New Challenges Towards Solvency II
ISBN: 9781137390837 / Angielski / Twarda / 292 str. Termin realizacji zamówienia: ok. 5-8 dni roboczych. Capital Requirements, Disclosure, and Supervision in the European Insurance Industry provides an in-depth analysis of Solvency II's issues by combining both a theoretical approach and evidence of the empirical implications and effects on the European insurance industry.
Capital Requirements, Disclosure, and Supervision in the European Insurance Industry provides an in-depth analysis of Solvency II's issues by combinin...
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cena:
201,72 zł |
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Microcredit Guarantee Funds in the Mediterranean: A Comparative Analysis
ISBN: 9781137452986 / Angielski / Twarda / 233 str. Termin realizacji zamówienia: ok. 5-8 dni roboczych. This book offers a comprehensive comparative analysis of the microcredit guarantee funds adopted in three South European countries and in three North African countries. It focuses on three keys areas: analysis of the regulatory framework, mapping of microcredit institutions and analysis of the main features of guarantee funds.
This book offers a comprehensive comparative analysis of the microcredit guarantee funds adopted in three South European countries and in three North ...
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cena:
201,72 zł |
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Fuel Hedging and Risk Management: Strategies for Airlines, Shippers and Other Consumers
ISBN: 9781119026723 / Angielski / Twarda / 320 str. Termin realizacji zamówienia: ok. 5-8 dni roboczych. A hands-on guide to navigating the new fuel markets Fuel Hedging and Risk Management: Strategies for Airlines, Shippers and Other Consumers provides a clear and practical understanding of commodity price dynamics, key fuel hedging techniques, and risk management strategies for the corporate fuel consumer. It covers the commodity markets and derivative instruments in a manner accessible to corporate treasurers, financial officers, risk managers, commodity traders, structurers, as well as quantitative professionals dealing in the energy markets. The book includes... A hands-on guide to navigating the new fuel markets Fuel Hedging and Risk Management: Strategies for Airlines, Shippers and Other ... |
cena:
307,44 zł |
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Security Analysis
ISBN: 9781939370174 / Angielski / Miękka / 230 str. Termin realizacji zamówienia: ok. 5-8 dni roboczych. Have you ever tried to read "Security Analysis"? It's not easy With 100 page summaries, you'll finally find Benjamin Graham's classic investing text book accessible. Be sure to look inside the book to get a free sample of this quality product
Have you ever tried to read "Security Analysis"? It's not easy With 100 page summaries, you'll finally find Benjamin Graham's classic investing text ...
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cena:
80,66 zł |
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Financial Regulation and Compliance: How to Manage Competing and Overlapping Regulatory Oversight
ISBN: 9781118972212 / Angielski / Twarda / 256 str. Termin realizacji zamówienia: ok. 5-8 dni roboczych. Devise an organized, proactive approach to financial compliance
Financial Regulation and Compliance provides detailed, step-by-step guidance for the compliance professional seeking to manage overlapping and new regulatory responsibilities. Written by David Kotz, former Inspector General of the SEC with additional guidance provided by leading experts, this book is a one-stop resource for navigating the numerous regulations that have been enacted in response to the financial crisis. You'll learn how best to defend your organization from SEC, CFTC, FINRA, and NFA Enforcement... Devise an organized, proactive approach to financial compliance
Financial Regulation and Compliance provides detailed, step-by-step g... |
cena:
194,66 zł |
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Quantitative Risk Management: Concepts, Techniques and Tools - Revised Edition
ISBN: 9780691166278 / Angielski / Twarda / 720 str. Termin realizacji zamówienia: ok. 5-8 dni roboczych. This book provides the most comprehensive treatment of the theoretical concepts and modelling techniques of quantitative risk management. Whether you are a financial risk analyst, actuary, regulator or student of quantitative finance, Quantitative Risk Management gives you the practical tools you need to solve real-world problems. Describing the latest advances in the field, Quantitative Risk Management covers the methods for market, credit and operational risk modelling. It places standard industry approaches on a more formal footing and explores key concepts such as... This book provides the most comprehensive treatment of the theoretical concepts and modelling techniques of quantitative risk management. Whether y... |
cena:
486,78 zł |
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An Option Greeks Primer: Building Intuition with Delta Hedging and Monte Carlo Simulation Using Excel
ISBN: 9781137371669 / Angielski / Twarda / 246 str. Termin realizacji zamówienia: ok. 5-8 dni roboczych. This book provides a hands-on, practical guide to understanding derivatives pricing. Aimed at the less quantitative practitioner, it provides a balanced account of options, Greeks and hedging techniques avoiding the complicated mathematics inherent to many texts, and with a focus on modelling, market practice and intuition.
This book provides a hands-on, practical guide to understanding derivatives pricing. Aimed at the less quantitative practitioner, it provides a balanc...
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cena:
322,77 zł |
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Simulating Security Returns: A Filtered Historical Simulation Approach
ISBN: 9781137465542 / Angielski / Twarda / 111 str. Termin realizacji zamówienia: ok. 5-8 dni roboczych. Practitioners in risk management are familiar with the use of the FHS (filtered historical simulation) to finding realistic simulations of security returns. This approach has become increasingly popular over the last fifteen years, as it is both flexible and reliable, and is now being accepted in the academic community. Simulating Security Returns is a useful guide for researchers, students, and practitioners. It uses the FHS approach to help simulate the returns of large portfolios of securities. While other simulation methods use the covariance matrix of security returns, which suffers the...
Practitioners in risk management are familiar with the use of the FHS (filtered historical simulation) to finding realistic simulations of security re...
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cena:
201,72 zł |
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Security Analysis: 100 Page Summary
ISBN: 9781939370181 / Angielski / Miękka / 232 str. Termin realizacji zamówienia: ok. 5-8 dni roboczych. Have you ever tried to read "Security Analysis"? It's not easy With 100 page summaries, you'll finally find Benjamin Graham's classic investing textbook accessible.
Have you ever tried to read "Security Analysis"? It's not easy With 100 page summaries, you'll finally find Benjamin Graham's classic investing textb...
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cena:
113,85 zł |
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Financial Risk Management For Dummies
ISBN: 9781119082200 / Angielski / Miękka / 384 str. Termin realizacji zamówienia: ok. 5-8 dni roboczych. Take the risk out of financial risk management
Written by bestselling author and past winner of the GARP Award's Risk Manager of the Year, Aaron Brown, Financial Risk Management For Dummies offers thorough and accessible guidance on successfully managing and controlling financial risk within your company. Through easy-to-follow instruction, you'll find out how to manage risk, firstly by understanding it, and then by taking control of it. Plus, you'll discover how to measure and value financial risk, set limits, stop losses, control drawdowns and hedge bets. Financial... Take the risk out of financial risk management
Written by bestselling author and past winner of the GARP Award's Risk Manager of the Year, A... |
cena:
100,84 zł |
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What Suze Orman Isn't Telling You: Can You AFFORD to Repeat Your Parents' Mistakes?
ISBN: 9780692330821 / Angielski / Miękka / 214 str. Termin realizacji zamówienia: ok. 5-8 dni roboczych. With the largest segment of our population facing retirement, "What Suze Orman Isn't Telling You" provides insight on how to right the wrongs of the various financial celebrities you have listened to over the years. You will quickly learn that market returns are not investor returns and that the retirement projection your financial advisor prepared is probably not worth the paper it was written on. "What Suze Orman Isn't Telling You" addresses the myth of tax-deferral as well as other financial misconceptions in an effort to open the mind of the investor to an alternative that when properly...
With the largest segment of our population facing retirement, "What Suze Orman Isn't Telling You" provides insight on how to right the wrongs of the v...
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cena:
88,57 zł |
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Risk Analysis
ISBN: 9781119057796 / Angielski / Twarda / 216 str. Termin realizacji zamówienia: ok. 5-8 dni roboczych. Risk Analysis, Second Edition
Terje Aven, University of Stavanger, Norway
A practical guide to the varied challenges presented in the ever-growing field of risk analysis.
Risk Analysis presents an accessible and concise guide to performing risk analysis, in a wide variety of field, with minimal prior knowledge required. Forming an ideal companion volume to Aven's previous Wiley text Foundations of Risk Analysis, it provides clear recommendations and guidance in the planning,... Risk Analysis, Second Edition
Terje Aven, University of Stavanger, Norway
A p... |
cena:
307,19 zł |
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Financial Risk Management: Applications in Market, Credit, Asset and Liability Management and Firmwide Risk
ISBN: 9781119135517 / Angielski / Twarda / 576 str. Termin realizacji zamówienia: ok. 5-8 dni roboczych. A global banking risk management guide geared toward the practitioner
Financial Risk Management presents an in-depth look at banking risk on a global scale, including comprehensive examination of the U.S. Comprehensive Capital Analysis and Review, and the European Banking Authority stress tests. Written by the leaders of global banking risk products and management at SAS, this book provides the most up-to-date information and expert insight into real risk management. The discussion begins with an overview of methods for computing and managing a variety of risk, then moves... A global banking risk management guide geared toward the practitioner
Financial Risk Management presents an in-depth look at banking ... |
cena:
404,80 zł |