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Kategorie szczegółowe BISAC

Kategoria BISAC: Business & Economics >> Investments & Securities - Bonds

ilość książek w kategorii: 245

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 State Insolvency and Foreign Bondholders: General Principles Edwin Borchard 9781587980459 Beard Books
State Insolvency and Foreign Bondholders: General Principles

ISBN: 9781587980459 / Angielski / Miękka / 416 str.

ISBN: 9781587980459/Angielski/Miękka/416 str.

Termin realizacji zamówienia: ok. 5-8 dni roboczych.
Edwin Borchard
cena: 160,27 zł

 Investing in Junk Bonds: Inside the High Yield Debt Market Altman, Edward I. 9781587981555 Beard Books
Investing in Junk Bonds: Inside the High Yield Debt Market

ISBN: 9781587981555 / Angielski / Miękka / 272 str.

ISBN: 9781587981555/Angielski/Miękka/272 str.

Termin realizacji zamówienia: ok. 5-8 dni roboczych.
Edward I. Altman; Scott A. Nammacher
Originally printed in 1987, this book examines the rise and operation of the high-yield debt market typified by the junk bond. It discusses expected yields, realized returns, default, market growth, credit quality, mergers and acquisitions, investment strategies, and related topics. Altman teaches f
Originally printed in 1987, this book examines the rise and operation of the high-yield debt market typified by the junk bond. It discusses expected y...
cena: 160,27 zł

 Bond Credit Analysis: Framework and Case Studies Fabozzi, Frank J. 9781883249915 John Wiley & Sons
Bond Credit Analysis: Framework and Case Studies

ISBN: 9781883249915 / Angielski / Twarda / 576 str.

ISBN: 9781883249915/Angielski/Twarda/576 str.

Termin realizacji zamówienia: ok. 5-8 dni roboczych.
Cfa Frank J. Fabozzi; Cfa Frank J. Fabozzi
Credit analysis is an important factor in judging investment value. Fundamentally sound credit analysis can offer more insight into the value of an investment and lead to greater profits.
Credit analysis is an important factor in judging investment value. Fundamentally sound credit analysis can offer more insight into the value of an in...
cena: 385,35 zł

 South Asian Bond Markets: Developing Long-Term Finance for Growth Sophastienphong, Kiatchai 9780821376010 World Bank Publications
South Asian Bond Markets: Developing Long-Term Finance for Growth

ISBN: 9780821376010 / Angielski / Miękka / 224 str.

ISBN: 9780821376010/Angielski/Miękka/224 str.

Termin realizacji zamówienia: ok. 5-8 dni roboczych.
Kiatchai Sophastienphong; Yibin Mu; Carlotta Saporito
The financial sectors in South Asia Region (SAR) are dominated by commercial banks, which account for the vast majority of the financial system s assets. The domestic debt markets including the government bond and corporate bond markets are at an early stage of development and there are few institutional investors. In recent years, countries in SAR have attempted to develop local debt markets, although the pace of development remains uneven and slow due to many regulatory and institutional impediments. With the notable exception of India, governments in SAR have yet to implement measures...
The financial sectors in South Asia Region (SAR) are dominated by commercial banks, which account for the vast majority of the financial system s asse...
cena: 141,70 zł

 South Asian Bond Markets: Developing Long-Term Finance for Growth Sophastienphong, Kiatchai 9780821377185 World Bank Publications
South Asian Bond Markets: Developing Long-Term Finance for Growth

ISBN: 9780821377185 / Angielski / Twarda / 220 str.

ISBN: 9780821377185/Angielski/Twarda/220 str.

Termin realizacji zamówienia: ok. 5-8 dni roboczych.
Kiatchai Sophastienphong; Yibin Mu; Carlotta Saporito
The financial sectors in South Asia Region (SAR) are dominated by commercial banks, which account for the vast majority of the financial system s assets. The domestic debt markets including the government bond and corporate bond markets are at an early stage of development and there are few institutional investors. In recent years, countries in SAR have attempted to develop local debt markets, although the pace of development remains uneven and slow due to many regulatory and institutional impediments. With the notable exception of India, governments in SAR have yet to implement measures...
The financial sectors in South Asia Region (SAR) are dominated by commercial banks, which account for the vast majority of the financial system s asse...
cena: 263,94 zł

 Capital and the Common Good: How Innovative Finance Is Tackling the World's Most Urgent Problems Keohane, Georgia Levenson 9780231178020 Columbia University Press
Capital and the Common Good: How Innovative Finance Is Tackling the World's Most Urgent Problems

ISBN: 9780231178020 / Angielski / Twarda / 264 str.

ISBN: 9780231178020/Angielski/Twarda/264 str.

Termin realizacji zamówienia: ok. 5-8 dni roboczych.
Georgia Levenson Keohane
Despite social and economic advances around the world, poverty and disease persist, exacerbated by the mounting challenges of climate change, natural disasters, political conflict, mass migration, and economic inequality. While governments commit to addressing these challenges, traditional public and philanthropic dollars are not enough. Here, innovative finance has shown a way forward: by borrowing techniques from the world of finance, we can raise capital for social investments today. Innovative finance has provided polio vaccines to children in the DRC, crop insurance to farmers in India,...
Despite social and economic advances around the world, poverty and disease persist, exacerbated by the mounting challenges of climate change, natural ...
cena: 115,42 zł

 Investments and Portfolio Performance Elton, Edwin J. 9789814335393 World Scientific Publishing Company
Investments and Portfolio Performance

ISBN: 9789814335393 / Angielski / Twarda / 416 str.

ISBN: 9789814335393/Angielski/Twarda/416 str.

Termin realizacji zamówienia: ok. 5-8 dni roboczych.
Edwin J. Elton; Martin J. Gruber
This book contains the recent contributions of Edwin J Elton and Martin J Gruber to the field of investments. All of the articles in this book have been published in the leading finance and economic journals. Sixteen of the twenty articles have been published in the last ten years. This book supplements the earlier contributions of the editors published by MIT Press in 1999.
This book contains the recent contributions of Edwin J Elton and Martin J Gruber to the field of investments. All of the articles in this book have be...
cena: 635,41 zł

 Minding the Markets: An Emotional Finance View of Financial Instability Tuckett, D. 9780230299856 Palgrave MacMillan
Minding the Markets: An Emotional Finance View of Financial Instability

ISBN: 9780230299856 / Angielski / Twarda / 232 str.

ISBN: 9780230299856/Angielski/Twarda/232 str.

Termin realizacji zamówienia: ok. 5-8 dni roboczych.
David Tuckett
Tuckett argues that most economists' explanations of the financial crisis miss its essence; they ignore critical components of human psychology. He offers a deeper understanding of financial market behaviour and investment processes by recognizing the role played by unconscious needs and fears in all investment activity.
Tuckett argues that most economists' explanations of the financial crisis miss its essence; they ignore critical components of human psychology. He of...
cena: 484,18 zł

 Common Stocks as Long Term Investments Edgar Lawrence Smith 9781614273325 Martino Fine Books
Common Stocks as Long Term Investments

ISBN: 9781614273325 / Angielski / Miękka / 140 str.

ISBN: 9781614273325/Angielski/Miękka/140 str.

Termin realizacji zamówienia: ok. 5-8 dni roboczych.
Edgar Lawrence Smith
2012 Reprint of 1928 Edition. Exact facsimile of the original edition, not reproduced with Optical Recognition Software. Edgar Lawrence Smith, (1882 - 1971) was an economist, investment manager and author of the influential book "Common Stocks as Long Term Investments," which promoted the then-surprising idea that stocks excel bonds in long-term yield. . He worked in banking and other financial endeavors in the years after college, then signed on in 1922 as an adviser to the brokerage firm Low, Dixon & Company. While there, he later recounted in his Harvard class's 50th reunion yearbook, "I...
2012 Reprint of 1928 Edition. Exact facsimile of the original edition, not reproduced with Optical Recognition Software. Edgar Lawrence Smith, (1882 -...
cena: 58,74 zł

 The Investor's Guidebook to Fixed Income Investments: Bond Markets--A Handbook for Issuers and Investors Stuart R. Veale 9780735205314 Prentice Hall Press
The Investor's Guidebook to Fixed Income Investments: Bond Markets--A Handbook for Issuers and Investors

ISBN: 9780735205314 / Angielski / Miękka / 239 str.

ISBN: 9780735205314/Angielski/Miękka/239 str.

Termin realizacji zamówienia: ok. 5-8 dni roboczych.
Stuart R. Veale
A concise, yet comprehensive, guidebook that addresses the practical aspects of investing in fixed income investments
The Investor s Guidebook series presents investment vehicles and strategies from both the issuers and the investors perspectives. Starting with basic concepts and then building to state-of-the-art pricing models, strategies, and tactics, these succinct handbooks will be useful for everyone from new hires through experienced professionals. Unlike most books, which are read once and sit on the shelf, professionals will refer to these books repeatedly throughout their...
A concise, yet comprehensive, guidebook that addresses the practical aspects of investing in fixed income investments
The Investor s Guidebook<...
cena: 111,75 zł

 Fixed Income Markets: Management, Trading and Hedging Choudhry, Moorad 9781118171721 John Wiley & Sons
Fixed Income Markets: Management, Trading and Hedging

ISBN: 9781118171721 / Angielski / Twarda / 640 str.

ISBN: 9781118171721/Angielski/Twarda/640 str.

Termin realizacji zamówienia: ok. 5-8 dni roboczych.
Moorad Choudhry
A comprehensive, in-depth look at global debt capital markets in the post-crisis world

Fully updated with comprehensive coverage of the post-crisis debt markets and their impact on key industry issues, Fixed Income Markets: Management, Trading, and Hedging, Second Edition offers insights into derivative pricing, cross-currency hedging, and new liquidity legislation. Written by Choudhry, Moskovic, and Wong, Fixed Income Markets is an indispensable read for anyone working in bond markets, interest-rate markets, and credit derivatives markets looking to better understand...

A comprehensive, in-depth look at global debt capital markets in the post-crisis world

Fully updated with comprehensive coverage of the post...

cena: 485,54 zł

 Keynes's Way to Wealth: Timeless Investment Lessons from the Great Economist Wasik, John 9780071815475 0
Keynes's Way to Wealth: Timeless Investment Lessons from the Great Economist

ISBN: 9780071815475 / Angielski / Twarda / 240 str.

ISBN: 9780071815475/Angielski/Twarda/240 str.

Termin realizacji zamówienia: ok. 5-8 dni roboczych.
John F Wasik

"Mr. Wasik's distillation of how Keynes made--and then remade--his fortune is instructive. And the principles that Keynes followed have stood the test of time. As Mr. Wasik adds, 'The object of investing is to ensure prosperity, not to become obsessed with making money.'"
The New York Times

John Maynard Keynes indelibly made his mark on global economics...

Few people know, however, that he was also a daring, steel-nerved investor who built a multimilliondollar fortune in the stock market while providing financial counsel to the likes of Winston...

"Mr. Wasik's distillation of how Keynes made--and then remade--his fortune is instructive. And the principles that Keynes followed have stood the t...

cena: 115,61 zł

 Emerging Markets and Financial Globalization: Sovereign Bond Spreads in 1870-1913 and Today Mauro, Paolo 9780199272693 0
Emerging Markets and Financial Globalization: Sovereign Bond Spreads in 1870-1913 and Today

ISBN: 9780199272693 / Angielski / Twarda / 208 str.

ISBN: 9780199272693/Angielski/Twarda/208 str.

Termin realizacji zamówienia: ok. 5-8 dni roboczych.
Yafeh
The frequency and virulence of recent financial crises have led to calls for reform of the current international financial architecture. In an effort to learn more about today's international financial environment, the authors turn to an earlier era of financial globalization between 1870 and 1913. By examining data on sovereign bonds issued by borrowing developing countries in this earlier period and in the present day, the authors are able to identify the characteristics of successful borrowers in the two periods. They are then able to show that global crises or contagion are a feature of...
The frequency and virulence of recent financial crises have led to calls for reform of the current international financial architecture. In an effort ...
cena: 260,98 zł

 Crisis: Cause, Containment and Cure Thomas F Huertas 9780230298316 0
Crisis: Cause, Containment and Cure

ISBN: 9780230298316 / Angielski / Miękka / 244 str.

ISBN: 9780230298316/Angielski/Miękka/244 str.

Termin realizacji zamówienia: ok. 5-8 dni roboczych.
Thomas F Huertas
Analysis of the current financial/economic crisis from the Director of the Banking Sector at the FSA (Financial Services Authority). New edition updated to take account of changes in regulation and legislation in the US, EU and UK. Many of these changes were in line with the recommendations made in the original edition
Analysis of the current financial/economic crisis from the Director of the Banking Sector at the FSA (Financial Services Authority). New edition updat...
cena: 181,55 zł

 Investment Mathematics  Adams 9780471998822 0
Investment Mathematics

ISBN: 9780471998822 / Angielski / Miękka / 440 str.

ISBN: 9780471998822/Angielski/Miękka/440 str.

Termin realizacji zamówienia: ok. 5-8 dni roboczych.
Adams
Investment Mathematics provides an introductory analysis of investments from a quantitative viewpoint, drawing together many of the tools and techniques required by investment professionals.
Using these techniques, the authors provide simple analyses of a number of securities including fixed interest bonds, equities, index-linked bonds, foreign currency and derivatives. The book concludes with coverage of other applications, including modern portfolio theory, portfolio performance measurement and stochastic investment models.
Investment Mathematics provides an introductory analysis of investments from a quantitative viewpoint, drawing together many of the tools and techniqu...
cena: 257,20 zł

 Invest with the Fed: Maximizing Portfolio Performance by Following Federal Reserve Policy Robert Johnson 9780071834407 MCGRAW-HILL Professional
Invest with the Fed: Maximizing Portfolio Performance by Following Federal Reserve Policy

ISBN: 9780071834407 / Angielski / Twarda / 336 str.

ISBN: 9780071834407/Angielski/Twarda/336 str.

Termin realizacji zamówienia: ok. 5-8 dni roboczych.
Robert Johnson
A research-based portfolio strategy that uses Fed signals to forecast security market performance

It's often said that the chairman of the Fed is the second most powerful person in the world, next only to the president of the United States. Some say the chairman is even more powerful. When Ben Bernanke publicly stated on September 8, 2013, the Fed's intent to continue its policy of quantitative easing, global markets instantly reversed direction from a worrying downward spiral to an exuberant upward surge. Even POTUS can't do that.

The authors of Invest with the Fed take the...

A research-based portfolio strategy that uses Fed signals to forecast security market performance

It's often said that the chairman of the Fed is t...

cena: 142,58 zł

 Interest Rate Derivatives Explained: Volume 2: Term Structure and Volatility Modelling Kienitz, Jörg 9781137360182 Palgrave MacMillan
Interest Rate Derivatives Explained: Volume 2: Term Structure and Volatility Modelling

ISBN: 9781137360182 / Angielski / Twarda / 248 str.

ISBN: 9781137360182/Angielski/Twarda/248 str.

Termin realizacji zamówienia: ok. 5-8 dni roboczych.
Jorg Kienitz
This book on Interest Rate Derivatives has three parts. The first part is on financial products and extends the range of products considered in Interest Rate Derivatives Explained I. In particular we consider callable products such as Bermudan swaptions or exotic derivatives. The second part is on volatility modelling. The Heston and the SABR model are reviewed and analyzed in detail. Both models are widely applied in practice. Such models are necessary to account for the volatility skew/smile and form the fundament for pricing and risk management of complex interest rate structures such as...
This book on Interest Rate Derivatives has three parts. The first part is on financial products and extends the range of products considered in Intere...
cena: 181,55 zł

 Pimco: A Brief History of the World's Biggest Bond Fund Joan Oleck 9781937504885 Worthy Shorts
Pimco: A Brief History of the World's Biggest Bond Fund

ISBN: 9781937504885 / Angielski / Miękka / 108 str.

ISBN: 9781937504885/Angielski/Miękka/108 str.

Termin realizacji zamówienia: ok. 5-8 dni roboczych.
Joan Oleck
What puts PIMCO's founder on a par with Warren Buffet?
PIMCO is by far the largest bond fund in the world.
It is among the world's most critical financial institutions and it was founded by an investment genius.
How did Bill Gross create the PIMCO juggernaut and sustain high returns for decades?
Insights into Bill Gross' genius and the growth of the bond market are outlined in this brief history . . . as is what went wrong
What puts PIMCO's founder on a par with Warren Buffet?
PIMCO is by far the largest bond fund in the world.
It is among the world's most crit...
cena: 86,95 zł

 Mastering Stocks and Bonds: Understanding How Asset Cross-Over Strategies Will Improve Your Portfolio's Performance Emons, Ben 9781137476241 PALGRAVE MACMILLAN
Mastering Stocks and Bonds: Understanding How Asset Cross-Over Strategies Will Improve Your Portfolio's Performance

ISBN: 9781137476241 / Angielski / Twarda / 205 str.

ISBN: 9781137476241/Angielski/Twarda/205 str.

Termin realizacji zamówienia: ok. 5-8 dni roboczych.
Ben Emons
Despite popular belief, bond and stock investors are not opposites. Stock investors can apply bond strategies to safeguard returns. And bond investors can do better using a stock selection strategy designed to improve the portfolio's income distribution. This book will teach you to look at stocks through the lens of a bond buyer, and vice versa.
Despite popular belief, bond and stock investors are not opposites. Stock investors can apply bond strategies to safeguard returns. And bond investors...
cena: 242,07 zł

 Hybrid Securities: Structuring, Pricing and Risk Assessment Liberadzki, Kamil 9781137589705 Palgrave MacMillan
Hybrid Securities: Structuring, Pricing and Risk Assessment

ISBN: 9781137589705 / Angielski / Twarda / 224 str.

ISBN: 9781137589705/Angielski/Twarda/224 str.

Termin realizacji zamówienia: ok. 5-8 dni roboczych.
Kamil Liberadzki; Marcin Liberadzki

The book provides a comprehensive analysis from mathematical, legal and financial perspectives on the pricing of hybrids.


The book provides a comprehensive analysis from mathematical, legal and financial perspectives on the pricing of hybrids.


cena: 403,47 zł

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