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  • Sách/Book


  • Authors: R P Rustagi (2019)

  • The book is also useful for other Under-graduate Courses in Commerce and Management of various Universities/ Institutions. Synopsis in the beginning of every Chapter to present a concise view of the contents of the Chapter.A summary, in the form of Points to Remember, at the end of every Chapter to recapitulate thecontents of the Chapter.Numerous Examples and Solved Graded Illustrations.Questions set in University Examinations have been incorporated at appropriate places. Multiple Choice Questions (MCQs) at the end of every Chapter.Financial Decision Making through EXCEL is explained with the help of several numerical examples from different topics.

  • Sách/Book


  • Authors: Stefania Rossi (2017)

  • This book explores how the global financial and European sovereign debt crises have forced small-and-medium-sized businesses (SMEs) to reassess and adapt their funding strategies. At the heart of the matter is the worsening access to bank credit for such enterprises. Through this discussion we learn how crucial an understanding of SME-financing is to policy makers, in light of the fact that SMEs dominate the business landscape in Europe and are the main drivers of employment, growth and innovation in the European economy. Contributing chapters present expert analysis and investigate many topics including the problems faced by SMEs in accessing bank credit and the cost of funding and its determinants. Particular attention is also given to how credit-constrained enterprises may reform...

  • Sách/Book


  • Authors: Sang Man Kim (2021)

  • This book explains various methods of payment in international trade and trade finance schemes for international trade. It also presents an overview of the concepts, purposes, features, and risks of international trade.

  • Sách/Book


  • Authors: Stephen G. Cecchetti (2016)

  • By focusing on the big picture via core principles, Cecchetti & Schoenholtz teaches students the rationale for financial rules and institutional structure so that even when the financial system evolves, students' knowledge will not be out of date.

  • Sách/Book


  • Authors: Zvi Bodie (2003)

  • The book maintains the theme of asset allocation (authors discuss asset pricing and trading, then apply these theories to portfolio planning in real-world securities markets that are governed by risk/return relationships). The major objective in this revision is to maintain the current level in content and coverage, with greater emphasis on the Internet and global issues, and to improve the text's accessibility by enhancing presentation, pedagogy and design.

  • Sách/Book


  • Authors: John C. Hull (2014)

  • Through its coverage of important topics such as the securitization and the credit crisis, the overnight indexed swap, the Black-Scholes-Merton formulas, and the way commodity prices are modeled and commodity derivatives valued, it helps students and practitioners alike keep up with the fast pace of change in today's derivatives markets.

  • Sách/Book


  • Authors: Frederic S. Mishkin (2018)

  • The 12th Edition provides a unifying, analytic framework for learning that fits a wide variety of syllabi. Core economic principles and real-world examples organize students' thinking and keeps them motivated.

  • Sách/Book


  • Authors: Bernhard Korte (2018)

  • This sixth edition has again been updated, revised, and significantly extended. Among other additions, there are new sections on shallow-light trees, submodular function maximization, smoothed analysis of the knapsack problem, the (ln 4+ɛ)-approximation for Steiner trees, and the VPN theorem. Thus, this book continues to represent the state of the art of combinatorial optimization.

  • Sách/Book


  • Authors: Michael Rees (2018)

  • This book provides clear instruction applicable across sectors, settings and countries, presented in a well-structured and highly-developed format accessible to people with very different backgrounds. For practical instruction, robust technique and clear presentation, Financial Modelling in Practice is the premier guide to real-world financial modelling from the ground up.

  • Sách/Book


  • Authors: Greg L. Turnquist (2022)

  • Spring Boot 3 brings more than just the powerful ability to build secure web apps on top of a rock-solid database. It delivers new options for testing, deployment, Docker support, and native images for GraalVM, along with ways to squeeze out more efficient usage of existing resources. The book goes into detail about GraalVM native images and deployment, teaching you how to secure your application using both routes and method-based rules and enabling you to apply the lessons you've learned to any problem. If you want to gain a thorough understanding of building robust applications using the core functionality of Spring Boot, then this is the book for you.