Friday, September 10, 2010

Getting Finance in South Asia 2010: Indicators and Analysis of the Commercial Banking Sector

September 10, 2010 by admin · Leave a Comment 

ISBN13: 9780821380574
Condition: New
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Product DescriptionUtilizing standardized indicators from 2001 to 2008, Getting Finance in South Asia 2010 analyzes the financial performance and soundness of commercial banks in eight South Asian countries: Afghanistan, [...]

Options: Trading Strategy and Risk Management (Wiley Finance)

September 10, 2010 by admin · 5 Comments 

Product DescriptionThe key concepts and essential strategies behind the successful use of options Written by Simon Vine, a seasoned trader who has over ten years of experience on Wall Street under his belt, Options is the definitive book on options for traders, investors, and risk professionals. Options provides a step-by-step approach to [...]

Plumbers and Visionaries: Securities Settlement and Europe’s Financial Market (The Wiley Finance Series)

September 10, 2010 by admin · Leave a Comment 

Product DescriptionPlumbers and Visionaries: Securities Settlement and Europe’s Financial Market is a path-breaking account of the history and future of the securities settlement industry in Europe. Written by experienced journalist and author, Peter Norman, this book takes a look at the less visible, but nevertheless critical segment of the global capital markets, following the development [...]

Emerging Markets Debt: An Analysis of the Secondary Market (International Banking, Finance and Economic Law Series Set)

September 10, 2010 by admin · Leave a Comment 

Product DescriptionThe emerging markets have attained prominence of late as the recent troubles in the principal emerging markets in Asia, Russia and Latin America have threatened global stability. This book is the first detailed study of emerging markets debt and offers a unique insight into one of the world’s more significant, [...]

Statistics, Modeling, and Finance (Appraisal Essentials)

September 9, 2010 by admin · Leave a Comment 

Product DescriptionAQB approved, this introductory 15-hour text helps students understand statistics, modeling, economics and finance as they apply to appraisal. Using an open instructional design, each lesson blends theory and practice to engage users and pace material into manageable elements. “In Practice” scenario applications provide real-world applications to develop critical thinking skills in all real [...]

New Financial Instruments (Frontiers in Finance Series)

September 9, 2010 by admin · 1 Comment 

Product DescriptionIn the beginning, there were four financial instruments: a bank deposit, a bill of exchange, a bond, and an equity. Today, as a result of a steady stream of financial innovations, the market landscape is far less sparse—and far more complex. To help you maneuver smoothly and profitably within this crowded and much-evolved arena, [...]

Synthetic CDOs: Modelling, Valuation and Risk Management (Mathematics, Finance and Risk)

September 9, 2010 by admin · Leave a Comment 

Product DescriptionCredit derivatives have enjoyed explosive growth in the last decade, particularly synthetic Collateralized Debt Obligations (synthetic CDOs). This modern book describes the state-of-the-art in quantitative and computational modeling of CDOs. Beginning with an overview of the structured finance landscape, readers are introduced to the basic modeling concepts necessary to model and value simple credit [...]

Credit, Currency or Derivatives: Instruments of Global Financial Stability or Crisis? (International Finance Review)

September 9, 2010 by admin · Leave a Comment 

Product DescriptionThis edited volume on “Credit, Currency, or Derivatives: Instruments of Global Financial Stability or Crisis” contains original papers that examine various issues concerning the role, the structure and functioning of credit, currency and derivatives instruments and markets as they relate to financial crises. We stress the importance of the inter-linkages of these instruments and [...]

Liquidity Risk: Managing Asset and Funding Risks (Finance and Capital Markets Series)

September 9, 2010 by admin · 1 Comment 

Product DescriptionLiquidity risk is the risk of loss arising from an inability to quickly realize asset value or obtain funding and can be damaging if not properly considered or actively managed. Lack of liquidity can lead to large losses in asset/liability portfolios and off balance sheet activities and in extreme cases can trigger financial [...]

Investment Risk Management (The Wiley Finance Series)

September 9, 2010 by admin · Leave a Comment 

Product DescriptionRecent market boom-busts have happened, and will continue to happen partly because apparently reputable institutions oversell risky or worthless investments. Following Enron, Worldcom, Equitable Life and other scandals it is apparent that a new investment methodology is required to protect investors. Rather then relying on market reputation, [...]

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