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  • Authors: Dennis R. Appleyard (2010)

  • International Economics 7e text is an International Economics textbook that offers a consistent level of analysis and treatment of the two main subdivisions of international economics—international trade theory and policy and international monetary theory and policy.

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  • Authors: Pierre Vernimmen (2014)

  • This latest edition includes new information on venture finance and debt structuring, and has been updated throughout with the most recent statistical tables. Emphasizing how key concepts relate to real-world situations is what makes Corporate Finance a valuable reference with real relevance to the professional and student alike.

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  • Authors: John C. Hull (2017)

  • Options, Futures, and Other Derivatives gives readers a modern look at derivatives markets. By incorporating the industry's hottest topics, such as the securitization and credit crisis, author John C. Hull helps bridge the gap between theory and practice. The 10th Edition covers all of the latest regulations and trends, including the Black-Scholes-Merton formulas, overnight indexed swaps, and the valuation of commodity derivatives.

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  • Authors: Simon Benninga (2014)

  • The new edition of Financial Modeling includes a number of innovations. A new section explains the principles of Monte Carlo methods and their application to portfolio management and exotic option valuation. A new chapter discusses term structure modeling, with special emphasis on the Nelson-Siegel model.

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  • Authors: Laurence M. Ball (2012)

  • Working from a macro framework based on the Fed's use of interest rate as its major policy instrument, Ball presents the core concepts necessary to understand the problems affecting the stock market, and the causes of recessions and banking crises. Underlying this framework are the intellectual foundations for the Fed's inflation targeting using the dynamic consistency problem facing policymakers.

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  • Authors: Phạm Thị Bảo Oanh (2022)

  • Giới thiệu tổng quan về quản trị rủi ro tài chính của Ngân hàng thương mại; rủi ro tín dụng của Ngân hàng thương mại; nhận dạng và đo lường rủi ro tín dụng của Ngân hàng thương mại; ngăn ngừa rủi ro tín dụng và xử lý nội thất của Ngân hàng thương mại; mô hình và đánh giá quản trị rủi ro tài chính của Ngân hàng thương mại;

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  • Authors: Keith Pilbeam (2006)

  • The third edition of this internationally renowned and respected text is an ideal introduction to the subject of international finance. Theory is clearly explained and constantly related to the the realities of the modern world economy. The reader is taken through the theories and differing policies of the balance of payments, exchange rates and the international monetary system. Extensive use is made of figures, tables and graphs to illustrate the arguments in the text. It is thoroughly updated and includes a new chapter on the Asian financial

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  • Authors: Timothy W. Koch (2015)

  • This new edition reflects the latest changes and developments, from complete regulatory updates to details of the many programs evolving amidst today's financial crises. The book's unique approach to understanding bank management focuses on decision-making in today's financial world.