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  • Sách/Book


  • Authors: Saunders, Anthony (2021)

  • Financial Markets and Institutions is aimed at the first course in financial markets and institutions at both the undergraduate and MBA levels. While topics covered in this book are found in more advanced textbooks on financial markets and institutions, the explanations and illustrations are aimed at those with little or no practical or academic experience beyond the introductory-level finance courses.

  • Sách/Book


  • Authors: Epstein, Lita (2022)

  • In Reading Financial Reports For Dummies, you'll move step-by-step through each phase of interpreting and understanding the data in a financial report, learning the key accounting and business fundamentals as you go. The book includes clear explanations of basic and advanced topics in finance, from the difference between private and public companies to cash flow analysis

  • Sách/Book


  • Authors: King, Brett (2019)

  • Bank 4.0 takes you to a world where banking will be instant, smart and ubiquitous, and where you'll have to adapt faster than ever before just to survive. Welcome to the future

  • Sách/Book


  • Authors: Luu, Lien (2021)

  • This book promotes financial knowledge and literacy. It focuses on the structure of the financial services industry, its key features, latest developments, and their impact on consumers' access and use of financial services products as well as the risks and financial opportunities. The book discusses a wide range of topics, including the impact of major aspects and changes in banking, such as closure of branches, Open Banking, digitalisation of banking; the rise of Fintech and its impact on products and services in banking, insurance and investment; the changes in the financial advice sector; the cause and effect of financial exclusion on consumers; the Government's role; the regulation of financial services and the types of consumer protection available.

  • Sách/Book


  • Authors: Krishnan, Hari P (2021)

  • This book provides a practical and wide ranging framework for dealing with the credit, positioning and liquidity risk that investors face in the modern age. The authors introduce concrete techniques for adjusting traditional risk measures such as volatility during this era of unprecedented balance sheet expansion.

  • Sách/Book


  • Authors: Wayne, Ref (2022)

  • This book provides a comprehensive look at the behind the scenes of Forex trading. Plus, with bonus advice on market psychology and risk management, this handbook is your ticket to drastically boosting your chances of Forex success.

  • Sách/Book


  • Authors: Li, Shuangzhe (2021)

  • It is here that advanced statistical and machine learning techniques can help. Accordingly, finance, statistics, and data analytics go hand in hand. The purpose of this book is to bring the state-of-art research in these three areas to the fore and especially research that juxtaposes these three.

  • Sách/Book


  • Authors: Fairhurst, Danielle Stein (2022)

  • Master the tools and strategies that help you draw insights from numbers and data you've already got. Build a successful financial model from scratch, or work with and modify an existing one to your liking. Create new and unexpected business strategies with the ideas and conclusions you generate with scenario analysis.

  • Sách/Book


  • Authors: Bera, Anil K (2015)

  • This contributed volume from the Perm Winter School address the problems of the mechanisms and statistics of the socio-economics system evolution with a focus on financial markets powered by the high-frequency data analysis.

  • Sách/Book


  • Authors: Maiti, Moinak (2021)

  • This textbook gives students an approachable, down to earth resource for the study of financial econometrics. While the subject can be intimidating, primarily due to the mathematics and modelling involved, it is rewarding for students of finance and can be taught and learned in a straightforward way.