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Advances in Financial Risk Management: Corporates, Intermediaries and Portfolios, Batten Jonathan A., MacKay P., Wagner N.


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Цена: 13974.00р.
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Автор: Batten Jonathan A., MacKay P., Wagner N.
Название:  Advances in Financial Risk Management: Corporates, Intermediaries and Portfolios
ISBN: 9781349438747
Издательство: Springer
Классификация:




ISBN-10: 134943874X
Обложка/Формат: Paperback
Страницы: 411
Вес: 0.50 кг.
Дата издания: 01.01.2013
Язык: English
Издание: 1st ed. 2013
Иллюстрации: Xxvi, 411 p.
Размер: 21.59 x 13.97 x 2.26 cm
Читательская аудитория: General (us: trade)
Подзаголовок: Corporates, intermediaries and portfolios
Ссылка на Издательство: Link
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Поставляется из: Германии
Описание: The latest research on measuring, managing and pricing financial risk. Three broad perspectives are considered: financial risk in non-financial corporations; in financial intermediaries such as banks; and finally within the context of a portfolio of securities of different credit quality and marketability.


Financial Markets and Corporate Strategy  2 ed.

Автор: David Hillier,Mark Grinblatt
Название: Financial Markets and Corporate Strategy 2 ed.
ISBN: 0077129423 ISBN-13(EAN): 9780077129422
Издательство: McGraw-Hill
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Цена: 10637.00 р.
Наличие на складе: Поставка под заказ.

Описание: Financial Markets and Corporate Strategy

Foundations of Real Estate Financial Modelling

Автор: Staiger Roger
Название: Foundations of Real Estate Financial Modelling
ISBN: 1138046183 ISBN-13(EAN): 9781138046184
Издательство: Taylor&Francis
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Цена: 11482.00 р.
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Описание:

NAMED ONE OF THE BEST COMMERCIAL REAL ESTATE BOOKS BY THE MOTLEY FOOL

Foundations of Real Estate Financial Modelling, Second Edition is specifically designed to provide the scalable basis of pro forma modelling for real estate projects. The book introduces students and professionals to the basics of real estate finance theory prior to providing a step-by-step guide for financial real estate model construction using Excel. The book introduces an innovative new financial metric, P(Gain), which quantifies the probability of a Return of Capital and answers the most basic question for investing, "What is the probability I get my money back?". 

This new second edition has been fully revised and expanded. The book is separated into three functional units: (1) Real Estate Valuation Basics, Theory and Skills, (2) Real Estate Pro Forma Modelling, (3) Real Estate Pro Forma (Enhancements). New and enhanced Chapters cover:  

  • Interest rates
  • Amortization
  • Single- and multi-family unit
  • Development module
  • Rent roll module
  • Waterfall (equity bifurcation)
  • Hotel, retail/office and townhouse.  

In addition, this new edition includes problem sets and solutions at the end of each chapter as well as case studies underpinning the chapter topics. Further chapters are dedicated to risk quantification and include scenario, stochastic and Monte Carlo simulations, equity waterfalls, and adding U.S. GAAP financial statements to existing real estate pro forma models.

This book is the ideal textbook for a Real Estate Finance class, providing the theoretical basis of real estate finance as well as valuable modelling skills for the workplace. This book provides individuals with a step-by-step instruction on how to construct a real estate financial model starting with a new spreadsheet. The resultant model is portable, scalable, and modular. A companion website provides the pro forma models to readers as a reference for their own constructed models.

Companion web material available at: https: //pgainllc.com/

Handbook of Research on Accounting and Financial Studies

Автор: Luis Farinha, Ana Baltazar Cruz, Joao Renato Sebas
Название: Handbook of Research on Accounting and Financial Studies
ISBN: 1799821366 ISBN-13(EAN): 9781799821366
Издательство: Mare Nostrum (Eurospan)
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Цена: 39640.00 р.
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Описание: The competitive nature of organizations in today's globalized world has led to the development of various approaches to increasing profitability and maintaining an advantage over rival companies. As technology continues to be integrated into business practices, specifically in the area of accounting and finance, professionals and educators need to be prepared for advancing economic techniques, and they need to maintain a high level of financial literacy.

The Handbook of Research on Accounting and Financial Studies is a pivotal reference source that provides vital research on advanced knowledge and emerging business practices and teaching dynamics in the fields of accounting and finance. While highlighting topics such as cost-benefit analysis, risk management, and corporate governance, this publication explores new initiatives in entrepreneurship and performance management. This book is ideally designed for business managers, consultants, entrepreneurs, auditors, tax practitioners, economists, accountants, academicians, researchers, and students seeking current research on modern advancements and recent findings in accounting and financial studies.

Recent Applications of Financial Risk Modelling and Portfolio Management

Автор: Bryan Christiansen, Mirjana ?imei??ija, Tihana i??krinjari?
Название: Recent Applications of Financial Risk Modelling and Portfolio Management
ISBN: 1799850838 ISBN-13(EAN): 9781799850830
Издательство: Mare Nostrum (Eurospan)
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Цена: 26195.00 р.
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Описание: Presents research on the use of modern data analysis as well as quantitative methods for developing successful portfolio and risk management techniques. The book explores diverse models for achieving investment goals as well as improving upon traditional financial modelling methods.

Singapore Blue Chips, The: The Rewards & Risks Of Investing In Singapore`S Largest Corporates

Автор: Vijayaraghavan Nandini Et Al
Название: Singapore Blue Chips, The: The Rewards & Risks Of Investing In Singapore`S Largest Corporates
ISBN: 9814759732 ISBN-13(EAN): 9789814759731
Издательство: World Scientific Publishing
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Цена: 8870.00 р.
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Описание: A pioneering and comprehensive work, The Singapore Blue Chips puts the spotlight on 22 of Singapore`s largest corporates.

Singapore Blue Chips, The: The Rewards & Risks Of Investing In Singapore`s Largest Corporates

Автор: Vijayaraghavan Nandini, Desai Umesh
Название: Singapore Blue Chips, The: The Rewards & Risks Of Investing In Singapore`s Largest Corporates
ISBN: 981475921X ISBN-13(EAN): 9789814759212
Издательство: World Scientific Publishing
Цена: 5227.00 р.
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Описание:

A pioneering and comprehensive work, The Singapore Blue Chips puts the spotlight on 22 of Singapore's largest corporates. This is the first book that provides a quick snapshot of Singapore's large cap (large market capitalisation) corporates as investment propositions, and is a timely tribute to the nation's 50 years of independence and development.

Written for finance professionals and students as well as readers with a general interest in business, investing and finance, each chapter of this book is dedicated to one company and delves into its attractiveness as an investment proposition, the associated investments risk and the company's prospects as of end-2016.

British Non-Bank Financial Intermediaries

Автор: Goacher, David , Curwen, Peter , Apps, R. , Boo
Название: British Non-Bank Financial Intermediaries
ISBN: 1138569135 ISBN-13(EAN): 9781138569133
Издательство: Taylor&Francis
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Цена: 5205.00 р.
Наличие на складе: Поставка под заказ.

Описание: Originally published in 1987, British Non-Bank Financial Intermediaries the book is the diversification of and overlaps in the operations of UK financial intermediaries forms.

FinTech as a Disruptive Technology for Financial Institutions

Автор: Rafay A.
Название: FinTech as a Disruptive Technology for Financial Institutions
ISBN: 1522578056 ISBN-13(EAN): 9781522578055
Издательство: Mare Nostrum (Eurospan)
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Цена: 28413.00 р.
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Описание: Financial institutions are tasked with keeping businesses of all sizes financially sounds while also providing accessible banking options to everyday individuals. Fintech, or financial technology, is an emerging disruptive technology in financial transaction that will change banking behavior for stakeholders and enable better traceability of funds against specific assets.FinTech as a Disruptive Technology for Financial Institutions is an essential reference source that discusses applications of FinTech in financial institutions in small, medium, and large businesses and through cultural and religious filters. Featuring research on topics such as machine learning, market development, crypto-currency, financial security, blockchain, and financial technology, this book is ideally designed for bankers, business managers, economists, computer scientists, academicians, researchers, financial professionals, and students.

Corporate Risk Management: Theory and Applications

Автор: Georges Dionne
Название: Corporate Risk Management: Theory and Applications
ISBN: 1119583128 ISBN-13(EAN): 9781119583127
Издательство: Wiley
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Цена: 11880.00 р.
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Описание:

An updated review of the theories and applications of corporate risk management

After the financial crisis of 2008, issues concerning corporate risk management arose that demand new levels of oversight. Corporate Risk Management is an important guide to the topic that puts the focus on the corporate finance dimension of risk management. The author--a noted expert on the topic--presents several theoretical models appropriate for various industries and empirically verifies theoretical propositions. The book also proposes statistical modeling that can evaluate the importance of different risks and their variations according to economic cycles.

The book provides an analysis of default, liquidity, and operational risks as well as the failures of LTCM, ENRON, and financial institutions that occurred during the financial crisis. The author also explores Conditional Value at Risk (CVaR), which is central to the debate on the measurement of market risk under Basel III. This important book:

  • Includes a comprehensive review of the aspects of corporate risk management
  • Presents statistical modeling that addresses recent risk management issues
  • Contains an analysis of risk management failures that lead to the 2008 financial crisis
  • Offers a must-have resource from author Georges Dionne the former editor of The Journal of Risk and Insurance

Corporate Risk Management provides a modern empirical analysis of corporate risk management across industries. It is designed for use by risk management professionals, academics, and graduate students.

Corporate Governance and Risk Management in Financial Institutions

Автор: Robert C. Gericke
Название: Corporate Governance and Risk Management in Financial Institutions
ISBN: 3319673106 ISBN-13(EAN): 9783319673103
Издательство: Springer
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Цена: 20962.00 р.
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Описание: This book presents an overview of corporate governance and risk management, analyzing their interdependence and particularly their relevance in banking. It discusses current trends in corporate governance, such as stakeholder management, financial performance and the cost of equity, compensation schemes, board structures and shareholder activism. Further, it reviews some of the most important regulatory changes introduced since the latest financial crisis and highlights their impact on the annual reports of the banks under analysis. Lastly, the book assesses and compares major banks in Brazil and Germany with special emphasis on the aspects mentioned above, revealing surprising similarities between the banking systems of these otherwise disparate countries. 

Corporate Governance and Risk Management in Financial Institutions: An International Comparison Between Brazil and Germany

Автор: Gericke Robert C.
Название: Corporate Governance and Risk Management in Financial Institutions: An International Comparison Between Brazil and Germany
ISBN: 303009796X ISBN-13(EAN): 9783030097967
Издательство: Springer
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Цена: 15372.00 р.
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Описание: This book presents an overview of corporate governance and risk management, analyzing their interdependence and particularly their relevance in banking.

Maintaining Financial Stability in Times of Risk and Uncertainty

Автор: Abhishek Behl, Sushma Nayak
Название: Maintaining Financial Stability in Times of Risk and Uncertainty
ISBN: 1522572082 ISBN-13(EAN): 9781522572084
Издательство: Mare Nostrum (Eurospan)
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Цена: 38669.00 р.
Наличие на складе: Есть у поставщика Поставка под заказ.

Описание: Risks and uncertainties―market, financial, operational, social, humanitarian, environmental, and institutional―are the inherent realities of the modern world. Stock market crashes, demonetization of currency, and climate change constitute just a few examples that can adversely impact financial institutions across the globe. To mitigate these risks and avoid a financial crisis, a better understanding of how the economy responds to uncertainties is needed.Maintaining Financial Stability in Times of Risk and Uncertainty is an essential reference source that discusses how risks and uncertainties affect the financial stability and security of individuals and institutions, as well as probable solutions to mitigate risk and achieve financial resilience under uncertainty. Featuring research on topics such as financial fraud, insurance ombudsman, and Knightian uncertainty, this book is developed for researchers, academicians, policymakers, students, and scholars.


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