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Strategy, Value and Risk: Industry Dynamics and Advanced Financial Management, Rogers Jamie


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Автор: Rogers Jamie
Название:  Strategy, Value and Risk: Industry Dynamics and Advanced Financial Management
ISBN: 9783030219802
Издательство: Springer
Классификация:


ISBN-10: 3030219801
Обложка/Формат: Paperback
Страницы: 226
Вес: 0.36 кг.
Дата издания: 25.09.2020
Серия: Global financial markets
Язык: English
Издание: 4th ed. 2019
Иллюстрации: 30 illustrations, color; 14 illustrations, black and white; xxiv, 226 p. 44 illus., 30 illus. in color.
Размер: 23.39 x 15.60 x 1.35 cm
Читательская аудитория: Professional & vocational
Подзаголовок: Industry dynamics and advanced financial management
Ссылка на Издательство: Link
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Поставляется из: Германии
Описание:

CONTENTS

Part I Strategy, Value and Risk

1. Strategy

1.1 Strategy and value

1.2 The external environment

1.2.1 Technology and innovation

1.2.2 Industry dynamics

1.2.3 Industry and globalization

1.2.4 Industry and climate change

1.3 Transformation and the firm

1.3.1 Innovation and the firm

1.3.2 Industry boundaries

1.3.3 Strategy and the environment

1.3.4 Future Value

Appendix 1 - Classifying industry sectors today

References

2. Value

2.1 Overview

2.2 The accounting foundations

2.2.1 Stocks and flows

2.2.2 Ratio analysis

2.2.3 Residual earnings and free cash flow

2.2.4 Intangible assets and intellectual property

2.2.5 Pro forma analysis

2.3 Corporate Investments

2.3.1 Investment methods

2.3.2 DCF valuation

2.3.3 The Net Present Value Rule

2.3.4 Real Options

2.3.5 Valuing Real Options

2.3.6 Types of Real Options

2.4 Corporate finance

2.4.1 Overview

2.4.2 Theories of firm value

2.4.3 Developments in the theories of firm value

2.5 Optimizing the firm structure

Appendix 2 Modularity

References

3. Risk

3.1 Investment risk

3.2 Corporate risk management

3.3 The risk drivers

3.4 Value and risk

References

Part II Quantitative Analytics

4. Financial statistics

4.1 Time series analysis

4.2 Regression models

4.3 Volatility

4.4 The lognormal distribution

4.5 Volatility and the firm

References

5. Derivatives

5.1 Futures, forwards and options

5.2 The replicating portfolio and risk-neutral valuation

5.3 A model for asset prices

5.4 The Black-Scholes formula

5.5 Numerical techniques

5.5.1 Monte Carlo Simulation

5.5.2 The binomial and trinomial method

References

6. Derivative model applications

6.1 Spot price models

6.1.1 Geometric Brownian motion

6.1.2 Mean reversion

6.1.3 Jumps and seasonal patterns

6.2 Stochastic volatility

6.3 Forward Curve Models

6.3.1 A single factor model for the forward curve

6.3.2 The dynamics of the forward curve

6.3.3 The relationships between forward curve and spot price models

6.4 Convertible bonds

6.5 Compound options

6.6 Model risk

References

Part III The analysis of transformation and value

Overview

7. Platforms, data and analytics

7.1 Platforms

7.2 Cloud computing

7.3 Artificial intelligence

7.4 Quantum computing

7.5 Data

7.6 Analytical management

7.7 IT investments

7.8 Patent options

References

8. Energy

8.1 The global energy markets

8.2 Transformation of the energy sector

8.3 Natural gas and renewables

8.4 Energy Statistics

8.4.1 The Schwartz single factor model

8.4.2 Schwartz single factor futures and fo



Financial economics and econometrics

Автор: Laopodis, Nikiforos T. (the American College Of Greece, Greece)
Название: Financial economics and econometrics
ISBN: 103207017X ISBN-13(EAN): 9781032070179
Издательство: Taylor&Francis
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Цена: 10717.00 р.
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Описание: Financial Economics and Econometrics provides an overview of the core topics in theoretical and empirical finance, with an emphasis on applications and interpreting results.

Strategy, Value and Risk

Автор: Jamie Rogers
Название: Strategy, Value and Risk
ISBN: 3030219771 ISBN-13(EAN): 9783030219772
Издательство: Springer
Рейтинг:
Цена: 7685.00 р.
Наличие на складе: Поставка под заказ.

Описание: The current transformation of the global economy is being driven by new fundamental innovations, digitalization, industry dynamics and climate change. The impact of this transformation in terms of value migration, industry boundaries, investment and firm continuity is vast. The fourth edition of Strategy, Value and Risk examines these issues, and how they will influence firms and industries in the future. Those aspects of the business environment that will have a significant impact on strategy, business models, investments and value are identified, and the accounting, finance, economic and quantitative principles that provide a foundation for the analysis of these issues are discussed.Part I: Strategy, Value and Risk provides the strategic, economic, accounting and financial framework. Strategy discusses technology and innovation, industry dynamics, globalization and industry concentration, climate change, industry boundaries and future value. Value discusses the accounting framework and corporate finance and investment, while Risk covers investment risk, corporate risk management and value and risk. Part II: Quantitative Analytics provides an overview of financial statistics, derivatives and derivative applications, and provides a background on the financial economics used in the analysis of physical, intangible, financial and energy assets. Part III: The Analysis of Investments, Transformation and Value examines platforms, data and analytics, the energy sector, pharmaceutical and biotech, a growth firm and media transformation, and applies the accounting, economic, financial and quantitative concepts.This fourth edition lays out scenarios that will likely shape firms and industries in the future, and has relevance to CFOs, corporate finance and investment professionals. Business model disruption, data and analytics, intangible assets and dynamic analysis are now key issues within the CFO role. Investment professionals are required to see the larger economic environment in which firms compete, assess a firm’s industry and its position within that industry, recognize which investments best serve its broad strategic goals and identify a firm’s capabilities and options. A background in the accounting, finance, economic, quantitative and valuation concepts that are relevant to the digital economy, new industries, business models and technologies is essential for finance professionals. This book addresses these issues within the context of the fundamental changes underway in the global economy, and provides applications of the techniques to illustrate the concepts.

Risk Assessment and Financial Regulation in Emerging Markets` Banking: Trends and Prospects

Автор: Karminsky Alexander M., Mistrulli Paolo Emilio, Stolbov Mikhail I.
Название: Risk Assessment and Financial Regulation in Emerging Markets` Banking: Trends and Prospects
ISBN: 3030697509 ISBN-13(EAN): 9783030697501
Издательство: Springer
Рейтинг:
Цена: 25155.00 р.
Наличие на складе: Есть у поставщика Поставка под заказ.

Описание: Highlighting current problems connected with the evaluation and modelling of financial risks in the banking sector of emerging markets, the book presents the methodologies applied to credit and market financial risks and integrated and payment risks, and discusses the outcomes.

Financial Risk Management and Derivative Instruments

Автор: Dempsey Michael
Название: Financial Risk Management and Derivative Instruments
ISBN: 0367676648 ISBN-13(EAN): 9780367676643
Издательство: Taylor&Francis
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Цена: 24499.00 р.
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Описание: Financial Risk Management and Derivative Instruments is an accessible, concise textbook offering a solid introduction to the essential principles of risk management and derivatives. Structured in two parts, the book first looks at markets and uncertainty, examining risk in the stock market and the bond market, leveraging and growth.

Financial Risk Management and Derivative Instruments

Автор: Dempsey Michael
Название: Financial Risk Management and Derivative Instruments
ISBN: 0367674793 ISBN-13(EAN): 9780367674793
Издательство: Taylor&Francis
Рейтинг:
Цена: 8879.00 р.
Наличие на складе: Есть у поставщика Поставка под заказ.

Описание: Financial Risk Management and Derivative Instruments is an accessible, concise textbook offering a solid introduction to the essential principles of risk management and derivatives. Structured in two parts, the book first looks at markets and uncertainty, examining risk in the stock market and the bond market, leveraging and growth.

Advanced Financial Risk Management: Enterprise-wide Risk Management in Theory and Practice, Third Edition

Автор: Donald van Deventer, Kenji Imai, Mark Mesler
Название: Advanced Financial Risk Management: Enterprise-wide Risk Management in Theory and Practice, Third Edition
ISBN: 1547416157 ISBN-13(EAN): 9781547416158
Издательство: Walter de Gruyter
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Цена: 16085.00 р.
Наличие на складе: Нет в наличии.

Описание: Advanced Financial Risk Management bridges the gap between the idealized assumptions used for risk valuation and the realities that must be reflected in management actions. The book explains, in detailed yet easy-to-understand terms, the analytics of these issues from A to Z, and lays out a comprehensive strategy for risk management measurement, objectives, and hedging techniques that apply to all types of institutions. Written by experienced risk managers, the authors cover integrated interest rate risk, market risk, credit risk, value at risk, and the most accurate implementation of regulatory risk management standards and accounting standards like the International Financial Reporting Standard 9. Revised and updated with lessons from the 2007–2010 financial crisis and a database of securities prices and default probabilities spanning the last decade, Advanced Financial Risk Management outlines a framework for fully integrated risk management. This book shows how a practical implementation of multi-factor interest rate models should be integrated with macro factor models and probability models for default, prepayment, mortality and other random events.

Accounting for Financial Instruments

Автор: Camilleri Emanuel
Название: Accounting for Financial Instruments
ISBN: 1138237590 ISBN-13(EAN): 9781138237599
Издательство: Taylor&Francis
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Цена: 8114.00 р.
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Описание: Accounting for Financial Instruments is about the accounting and regulatory framework associated with the acquisition and disposal of financial instruments; how to determine their value; how to manage the risk connected with them; and ultimately compile a business valuation report. Specifically, the book covers the following topics, amongst others: Accounting for Investments; Bills of exchange; Management of Financial Risks; Financial Analysis (including the Financial Analysis Report); Valuation of a business (including the Business Valuation Report) and Money laundering. Accounting for Financial Instruments fills a gap in the current literature for a comprehensive text that brings together relevant accounting concepts and valid regulatory framework, and related procedures regarding the management of financial instruments (investments), which are applicable in the modern business world. Understanding financial risk management allows the reader to comprehend the importance of analysing a business concern. This is achieved by presenting an analytical framework to illustrate that an entity’s performance is greatly influenced by its external and internal environments. The analysis of the external environment examines factors that impact an entity’s operational activities, strategic choices, and influence its opportunities and risks. The analysis of the internal environment applies accounting ratio analysis to an entity’s financial statements to examine various elements, including liquidity, profitability, asset utilisation, investment, working capital management and capital structure. The objective of the book is to provide a fundamental knowledge base for those who are interested in managing financial instruments (investments) or studying banking and finance or those who wish to make financial services, particularly banking and finance, their chosen career. Accounting for Financial Instruments is highly applicable to bothprofessional accountants and auditors and students alike.

The Price Reporters

Автор: Johnson
Название: The Price Reporters
ISBN: 1138721557 ISBN-13(EAN): 9781138721555
Издательство: Taylor&Francis
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Цена: 22202.00 р.
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Описание:

Every consumer in a modern economy is indirectly exposed to the work of a price reporting agency (PRA) each time they fill up their car, take a flight or switch on a light, and yet the general public is completely unaware of the existence of PRAs. Firms like Platts, Argus and ICIS, which are referenced every day by commodity traders and which influence billions of dollars of trade, are totally unfamiliar to consumers.

The Price Reporters: A Guide to PRAs and Commodity Benchmarks brings the mysterious world of price reporting out of the shadows for the first time, providing a comprehensive guide to the agencies that set the world's commodity prices. This book explains the importance of PRAs to the global commodities industry, highlighting why PRAs affect every consumer around the world. It introduces the individual PRAs, their history and the current state of play in the industry, and also presents the challenges that the PRA industry is facing now and in the future, in particular how regulation might impact on the PRAs, their relationships with commodity exchanges, and their likely direction.

This is the first-ever guide to PRAs and is destined to become the standard reference work for anyone with an interest in commodity prices and the firms that set them.

The Price Reporters

Автор: Johnson
Название: The Price Reporters
ISBN: 1138721565 ISBN-13(EAN): 9781138721562
Издательство: Taylor&Francis
Рейтинг:
Цена: 7042.00 р.
Наличие на складе: Есть у поставщика Поставка под заказ.

Описание:

Every consumer in a modern economy is indirectly exposed to the work of a price reporting agency (PRA) each time they fill up their car, take a flight or switch on a light, and yet the general public is completely unaware of the existence of PRAs. Firms like Platts, Argus and ICIS, which are referenced every day by commodity traders and which influence billions of dollars of trade, are totally unfamiliar to consumers.

The Price Reporters: A Guide to PRAs and Commodity Benchmarks brings the mysterious world of price reporting out of the shadows for the first time, providing a comprehensive guide to the agencies that set the world's commodity prices. This book explains the importance of PRAs to the global commodities industry, highlighting why PRAs affect every consumer around the world. It introduces the individual PRAs, their history and the current state of play in the industry, and also presents the challenges that the PRA industry is facing now and in the future, in particular how regulation might impact on the PRAs, their relationships with commodity exchanges, and their likely direction.

This is the first-ever guide to PRAs and is destined to become the standard reference work for anyone with an interest in commodity prices and the firms that set them.

Risk Assessment and Financial Regulation in Emerging Markets` Banking: Trends and Prospects

Автор: Karminsky Alexander M., Mistrulli Paolo Emilio, Stolbov Mikhail I.
Название: Risk Assessment and Financial Regulation in Emerging Markets` Banking: Trends and Prospects
ISBN: 3030697479 ISBN-13(EAN): 9783030697471
Издательство: Springer
Рейтинг:
Цена: 25155.00 р.
Наличие на складе: Есть у поставщика Поставка под заказ.

Описание: Highlighting current problems connected with the evaluation and modelling of financial risks in the banking sector of emerging markets, the book presents the methodologies applied to credit and market financial risks and integrated and payment risks, and discusses the outcomes.

Market Risk Analysis - Value-at-Risk Models, Volume IV

Автор: Alexander
Название: Market Risk Analysis - Value-at-Risk Models, Volume IV
ISBN: 0470997885 ISBN-13(EAN): 9780470997888
Издательство: Wiley
Рейтинг:
Цена: 10771.00 р.
Наличие на складе: Поставка под заказ.

Описание: Written by leading market risk academic, Professor Carol Alexander, Value-at-Risk Models forms part four of the Market Risk Analysis four volume set. Building on the three previous volumes this book provides by far the most comprehensive, rigorous and detailed treatment of market VaR models.

The 30-Minute Stock Trader: The Stress-Free Trading Strategy for Financial Freedom

Автор: Bensdorp Laurens
Название: The 30-Minute Stock Trader: The Stress-Free Trading Strategy for Financial Freedom
ISBN: 1619615509 ISBN-13(EAN): 9781619615502
Издательство: Неизвестно
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Цена: 2206.00 р.
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Описание:

By automating your investment strategy, you can achieve financial freedom and work thirty minutes a day.

In The 30-Minute Stock Trader, Laurens will take you through all of the steps to create your own automated stock trading strategy that's proven and based on historical price action data. He will also show you how to suit the strategy to your lifestyle. You simply need to follow your computer's instructions, and you'll never need to listen to the financial media again.

In this book, you'll discover:

  • Why the classical investment approach most people use is doomed to fail

  • Proof that automated trading works

  • How to uncover your "trading personality"

  • Three proven strategies--with exact numbers, entry and exit rules, and charts and graphs

  • The "missing ingredient" to financial freedom

  • The secret twelve-ingredient recipe of a profitable, automated trading strategy

With The 30-Minute Stock Trader, you'll have complete knowledge about how to build your own, personalized trading strategy to achieve financial freedom and live the way you choose.


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