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Debt Markets and Investments, Baker H. Kent, Filbeck Greg, Spieler Andrew C.


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Цена: 45865.00р.
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При оформлении заказа до: 2025-07-23
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Автор: Baker H. Kent, Filbeck Greg, Spieler Andrew C.
Название:  Debt Markets and Investments
ISBN: 9780190877439
Издательство: Oxford Academ
Издательство: Oxford University Press, USA
Классификация:

ISBN-10: 019087743X
Обложка/Формат: Hardcover
Страницы: 832
Вес: 1.31 кг.
Дата издания: 05.09.2019
Серия: Financial markets and investments
Язык: English
Размер: 23.88 x 16.51 x 5.59 cm
Читательская аудитория: General (us: trade)
Ссылка на Издательство: Link
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Поставляется из: США
Описание: This book examines the dynamic world of debt markets, products, valuation, and analysis. It also provides an in-depth understanding about this subject from experts in the field, both practitioners and academics. This volume spans the gamut from theoretical to practical and offers a useful balance of detailed and user-friendly coverage.


Investments 11 edition

Автор: Zvi Bodie
Название: Investments 11 edition
ISBN: 126008339X ISBN-13(EAN): 9781260083392
Издательство: McGraw-Hill
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Цена: 10476.00 р.
Наличие на складе: Поставка под заказ.

Описание: It sets the standard for graduate/MBA investments textbooks. The content of this book places greater emphasis on asset allocation and offers a much broader and deeper treatment of futures, options, and other derivative security markets than most investment texts.

Managing Energy Risk - An Integrated View on Power and Other Energy Markets

Автор: Burger
Название: Managing Energy Risk - An Integrated View on Power and Other Energy Markets
ISBN: 0470029625 ISBN-13(EAN): 9780470029626
Издательство: Wiley
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Цена: 14254.00 р.
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Описание: Mathematical techniques for trading and risk management. Managing Energy Risk closes the gap between modern techniques from financial mathematics and the practical implementation for trading and risk management.

Risk Factors And Contagion In Commodity Markets And Stocks Markets

Автор: Guesmi Khaled, Goutte Stephane
Название: Risk Factors And Contagion In Commodity Markets And Stocks Markets
ISBN: 9811210233 ISBN-13(EAN): 9789811210235
Издательство: World Scientific Publishing
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Цена: 19008.00 р.
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Описание:

The link between commodities prices and the business cycle, including variables such as real GDP, industrial production, unemployment, inflation, and market uncertainty, has often been debated in the macroeconomic literature. To quantify the impact of commodities on the economy, one can distinguish different modeling approaches. First, commodities can be represented as the pinnacle of cross-sectional financial asset prices. Second, price fluctuations due to seasonal variations, dramatic market changes, political and regulatory decisions, or technological shocks may adversely impact producers who use commodities as input. This latter effect creates the so-called "commodities risk". Additionally, commodities price fluctuations may spread to other sectors in the economy, via contagion effects. Besides, stronger investor interest in commodities may create closer integration with conventional asset markets; as a result, the financialization process also enhances the correlation between commodity markets and financial markets.

Our objective in this book, Risk Factors and Contagion in Commodity Markets and Stocks Markets, lies in answering the following research questions: What are the interactions between commodities and stock market sentiment? Do some of these markets move together overtime? Did the financialization in energy commodities occur after the 2008 Global Financial Crisis? These questions are essential to understand whether commodities are driven only by their fundamentals, or whether there is also a systemic component influenced by the volatility present within the stock markets.

Internationalization of the RMB

Автор: International Monetary In
Название: Internationalization of the RMB
ISBN: 1138651702 ISBN-13(EAN): 9781138651708
Издательство: Taylor&Francis
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Цена: 24499.00 р.
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Описание: This book provides the Renminbi Internationalization Index (RII) and focuses on the off-shore RMB markets. It summarizes theoretical implications by studying major international currencies` historical developments, reviews the recent development of RMB off-shore markets, identifies key opportunities and challenges, and proposes suggestions to policy makers and market practitioners.

Finance: Markets, Instruments & Investments

Автор: Hans Bystrom
Название: Finance: Markets, Instruments & Investments
ISBN: 9144138318 ISBN-13(EAN): 9789144138312
Издательство: Gazelle Book Services
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Цена: 11795.00 р.
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Описание: In todays largely market-based global economy, financial markets such as stock and bond markets play an increasingly important role. As a result, an understanding of the workings of the modern market economy almost certainly requires knowledge of the basic functions of financial markets. Finance Markets, Instruments & Investments provides a comprehensive yet relatively short and non-technical introduction to financial markets and the principal financial instruments traded there. The basic concepts behind rational investment strategies in these markets are also covered. The material is up-to-date and, in addition to the treatment of traditional financial markets such as bond, stock and derivatives markets, the book provides an overview of the market for credit and credit derivatives, the arena for the 2008 global financial crisis. The book is written with a wide readership in mind. It is not only suitable for introductory finance courses at the undergraduate or MBA level, but anyone who needs a basic understanding, or refreshment, of the core principles of finance will find it helpful. Since the level of mathematical analysis has been consciously kept to a minimum, readers will find that the book requires only the most elementary knowledge of mathematics and statistics. The appendix at the end of the book contains the most important statistical concepts. Each chapter ends with a list of questions with complete answers and solutions and the books website contains additional study material. The fourth edition of the book has been revised and updated in order to keep the contents relevant. New material has been added to several of the chapters of the book.

Counterparty Credit Risk and Credit Value Adjustment: A Continuing Challenge for Global Financial Markets, 2nd Edition

Автор: Gregory
Название: Counterparty Credit Risk and Credit Value Adjustment: A Continuing Challenge for Global Financial Markets, 2nd Edition
ISBN: 1118316673 ISBN-13(EAN): 9781118316672
Издательство: Wiley
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Цена: 9504.00 р.
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Описание: The first decade of the 21st Century has been disastrous for financial institutions, derivatives and risk management. Counterparty credit risk has become the key element of financial risk management, highlighted by the bankruptcy of the investment bank Lehman Brothers and failure of other high profile institutions such as Bear Sterns, AIG, Fannie Mae and Freddie Mac. The sudden realisation of extensive counterparty risks has severely compromised the health of global financial markets. Counterparty risk is now a key problem for all financial institutions. This book explains the emergence of counterparty risk during the recent credit crisis. The quantification of firm-wide credit exposure for trading desks and businesses is discussed alongside risk mitigation methods such as netting and collateral management (margining) and central counterparties. Banks and other financial institutions have been recently developing their capabilities for pricing counterparty risk and these elements are considered in detail via a characterisation of credit value adjustment (CVA). The implications of an institution valuing their own default via debt value adjustment (DVA) and funding costs (FVA) are also considered at length. Portfolio management and hedging of CVA are described in full. Wrong-way counterparty risks are addressed in detail in relation to interest rate, foreign exchange, commodity and credit derivative products. Regulatory capital for counterparty risk, including the recent Basel III requirements for CVA VAR is discussed. The management of counterparty risk within an institution by a CVA desk is also discussed in detail. Finally, the design and benefits of central clearing, a recent development to attempt to control the rapid growth of counterparty risk, is considered. Hedging aspects, together with the associated instruments such as credit defaults swaps (CDSs) and contingent CDS (CCDS) are described in full. This book is unique in being practically focused but also covering the more technical aspects. It is an invaluable complete reference guide for any market practitioner, policy maker, academic or student with any responsibility or interest within the area of counterparty credit risk and CVA.

Private Equity Fund Investments

Автор: Demaria Cyril
Название: Private Equity Fund Investments
ISBN: 1137400382 ISBN-13(EAN): 9781137400383
Издательство: Springer
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Цена: 13463.00 р.
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Описание: This book presents new, advanced, evidence-based guidance on investing in private equity funds: first by assessing the investor`s environment and motivations, then by looking into the risks, returns and overall performance of funds and finally, by offering practical solutions to the illiquidity conundrum.

Mutual funds and exchange-traded funds

Название: Mutual funds and exchange-traded funds
ISBN: 0190207434 ISBN-13(EAN): 9780190207434
Издательство: Oxford Academ
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Цена: 20196.00 р.
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Описание: Mutual Funds and Exchange-Traded Funds: Building Blocks to Wealth provides a fresh look at this intriguing but often complex subject. Its coverage spans the gamut from theoretical to practical coverage.

Islamic Capital Markets: A Comparative Approach (Second Edition)

Автор: Bacha Obiyathulla Ismath, Mirakhor Abbas
Название: Islamic Capital Markets: A Comparative Approach (Second Edition)
ISBN: 9811204012 ISBN-13(EAN): 9789811204012
Издательство: World Scientific Publishing
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Цена: 12672.00 р.
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Описание:

Islamic Capital Markets: A Comparative Approach (2nd Edition) looks at the similarities and differences between Islamic capital markets and conventional capital markets. The book explains each topic from both the conventional and the Islamic perspective, offering a full understanding of Islamic capital markets, processes, and instruments. In addition to a full explanation of Islamic products, the book also ensures a holistic understanding of the dual markets within which Islamic capital markets operate.

Ideal for both students and current practitioners, the second edition of the highly successful Islamic Capital Markets: A Comparative Approach fills a large gap in the current literature on the subject, featuring case studies from Malaysia, Indonesia, Europe, and the Middle East. One of the few comprehensive, dedicated guides to the subject available, the book offers comprehensive and in-depth insights on the topic of Islamic finance for students and professionals alike.

Subprime Crisis, The: Lessons For Business Students

Автор: Luque Jaime Perez
Название: Subprime Crisis, The: Lessons For Business Students
ISBN: 9813200030 ISBN-13(EAN): 9789813200036
Издательство: World Scientific Publishing
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Цена: 7603.00 р.
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Описание: The first major global economic contraction of the 21st century, or the 'Great Recession', as it is more commonly known, began in December of 2007, and would prove to be one of the most catastrophic economic events in postmodern history. The bursting of the American housing bubble and the subprime mortgage crisis that followed are widely attributed as being the primary causes for this economic downturn.The content of this book presents an in-depth analysis of several of the leading causes of the subprime crisis, as well as the subsequent measures that were used to contain a widespread economic recession. It is the aim of this book to provide adequate information and tools for readers to gain insight on how we can prevent the same mistakes from happening again. This analysis also explores an interesting question when considering public policy; was the economic disaster, that ensued, caused by overzealous consumers who borrowed more than they could afford, or was it caused by institutional entities that gambled away the American economy?

Investment Risk Management

Автор: Baker H. Kent, Filbeck Greg
Название: Investment Risk Management
ISBN: 0199331960 ISBN-13(EAN): 9780199331963
Издательство: Oxford Academ
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Цена: 16236.00 р.
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Описание: Investment Risk Management provides an overview of developments in risk management and a synthesis of research on the subject. The chapters examine ways to alter exposures through measuring and managing risk exposures and provide an understanding of the latest strategies and trends within risk management.

Financial behavior :

Автор: H. Kent Baker
Название: Financial behavior :
ISBN: 0190269995 ISBN-13(EAN): 9780190269999
Издательство: Oxford Academ
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Цена: 13781.00 р.
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Описание: Financial Behavior: Players, Services, Products, and Markets providesthrough the judgments of leading scholars and practitioners.


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